Tag Archives: Manager Selection

Disruption and Differentiation

Most asset management organizations take risks in the market, but Tom Brakke, CFA, says that taking risks in other ways will be necessary to survive the disruption ahead. Read More

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Financial Times Video: “Taking the Temperature of How the Smart Money Is Thinking”

John Authers queries speakers on a wide range of topics, including systemic risk, the global pensions crisis, and behavioral finance. Read More

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Manager Selection and Asset Allocation: Practitioner Workshop

Delegates attending the Research Foundation Workshop for the Practitioner, held in advance of the 67th CFA Institute Annual Conference, can learn about investment manager selection and asset allocation. Read More

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