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Martingale Asset Management LP in 2008, 130/30 Funds, and a Low-Volatility Strategy
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Reference: HBS-209047-E
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Year: Event Year Start:2008
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Number of pages: 22
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Geographic Setting: Geographic Setting:United States
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Publication Date: Aug 21, 2008
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Fecha de edición: Jun 18, 2012
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Source: HBSP (USA)
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Type of Document: Case
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Industry Setting: Industry Setting:Asset management;Hedge funds;Mutual funds
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