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Outsmarting the Index: Strategies That (Sometimes) Work for Active Funds

Many Happy Returns

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Navigating Active Fund Management

This chapter explores the intricacies of investing in active funds, stressing the balance of risk and return while discussing liquidity dynamics. It highlights the potential benefits and risks of investing in illiquid assets, contrasts closed-ended and open-ended funds, and analyzes specific fund strategies, including research-enhanced index funds. Ultimately, the chapter reflects on the challenges faced by active management in achieving consistent outperformance amidst market fluctuations.

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