Question 1.
Please describe market neutral alternative funds – advantages and disadvantages of these types of funds.
Question 2.
Please explain a detailed manner the advantages and disadvantages of quantitative funds and why are these type of funds raising Assets.
Question 3.
Behavioral finance has an impact on portfolio management specially in times of higher volatility as of March this year – how can we try to neutralize this factor within the portfolios.
*In word doc. total of ~2100 words due Sept 17. 11:59pm European Time.
*2-3 References
*No plagiarism please, it is a Turnitin submission point.
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