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Multi-Manager Funds: Long-Only Strategies for Managers and Investors
Euromoney Trading Ltd, April 2006, Pages: 270
The first definitive guide to the rapidly expanding multi-manager industry.
More than 20 leading practitioners (including product providers, distributors, private and institutional investors, trustees and consultants) provide you with a global overview of the industry:
- Who are the major players? - What is the value-added of multi-management? - Does this outweigh the fees? - What are the balances that investors must strike when investing in multi-management?
Includes special sections on asset allocation, due diligence and risk control for each investor class. Also covers legal and regulatory issues. Contents overview:
- Development of the industry - Why invest in multi-manager funds? - Manager of managers versus fund of funds - Fund structuring - Total Expense Ratios - Issues for pension funds, insurers, trustees and other institutional investors - Issues for high-net-worth individuals - Selecting administrators - Benchmarking and indexation - Currency hedging - Liability driven investment - Performance measurement and risk control strategies - Due diligence - Accounting considerations - Tax considerations - Legal and regulatory issues
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