Martingale Asset Management LP in 2008, 130/30 Funds, and a Low-Volatility Strategy

English , Spanish

  • Reference: HBS-209047-E

  • Year: Event Year Start:2008

  • Number of pages: 22

  • Geographic Setting: Geographic Setting:United States

  • Publication Date: Aug 21, 2008

  • Fecha de edición: Jun 18, 2012

  • Source: HBSP (USA)

  • Type of Document: Case

  • Industry Setting: Industry Setting:Asset management;Hedge funds;Mutual funds

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Description

In early July of 2008, William (Bill) Jacques, Chief Investment Officer at Martingale Asset Management, a quantitative value-oriented investment manager in Boston, Massachusetts, was busy preparing for an upcoming meeting with the group that made new prod

Keywords

Asset management Capital markets Financial markets Hedge funds Investment management Mutual funds Stocks