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开泰-王飞 · 2022年12月26日

sector rotator是什么表现

* 问题详情,请 查看题干

NO.PZ201809170400000603

问题如下:

Manager B’s portfolio is most likely consistent with the characteristics of a:

选项:

A.

pure indexer.

B.

sector rotator.

C.

multi-factor manager.

解释:

C is correct. Most multi-factor products are diversified across factors and securities and typically have high active share but have reasonably low active risk (tracking error), often in the range of 3%. Most multi-factor products have a low concentration among securities in order to achieve a balanced exposure to risk factors and minimize idiosyncratic risks. Manager B holds a highly diversified portfolio that has balanced exposures to rewarded risk factors, a high active share, and a relatively low target active risk—consistent with the characteristics of a multi-factor manager.

如题    

1 个答案

笛子_品职助教 · 2022年12月26日

嗨,努力学习的PZer你好:


sector rotator是什么表现

行业会比较集中,因此行业的偏差会比较大。也会带来相对大的active risk。

sector rotator是例题中出现的一个名词,但是非常喜欢考,同学可以把我们基础讲义例题看一看。

我们23版基础讲义191-192页,同学也可以直接看老师给出的讲义例题截图。

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