Tail risk management for multi-asset multi-factor strategies
As investors seek to diversify their portfolios through factors, rather than traditional asset classes alone, we explore the notion of tail risk management into the construction of multi-asset multi-factor portfolios.
Investment risks
- The value of investments and any income will fluctuate (this may partly be the result of exchange rate fluctuations) and investors may not get back the full amount invested.
Important information
- Where individuals or the business have expressed opinions, they are based on current market conditions, they may differ from those of other investment professionals and are subject to change without notice.
Related insights
Research “A blockchain isn’t a truth machine”
As a Co-founder and Executive Director of the Cambridge Centre for Alternative Finance (CCAF), Bryan Zhang has co-authored some of the most influential national and international reports on financial innovation.
Research 2019 Global Enterprise Blockchain Benchmarking Study
The Cambridge Centre for Alternative Finance produce a global study, supported by Invesco, providing new insights into the current state of the enterprise blockchain ecosystem.
Research European Region Alternative Finance Industry Report
The Cambridge Centre for Alternative Finance produce an annual study, supported by Invesco, tracking the growth and development of the online alternative finance industry in Europe.