Ava2024-07-24 23:30:00
机会投资中波动与策略的时间范围正相关什么意思?
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Evian, CFA2024-07-30 15:18:15
ヾ(◍°∇°◍)ノ゙你好同学,
Managed futures and global macro managers are somewhat cyclical and at the more volatile end of the spectrum of hedge fund strategies (with volatility positively related to the strategy’s time horizon). In addition, macro managers can also be early and overly anticipatory in their positioning.
属于Managed futures and global macro这两种策略的基金经理,投资的标的资产和宏观经济(具有周期性)有很大关系,在策略实施的后期基金经理会经历较大的波动,往往周期越长,波动会越大,例如一个经济周期越长,带来的市场崩盘的波动也就越大。
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