Enhanced estimates generate improvement in hedge funds

EDHEC-Risk Institute has conducted research looking at an application of the improved estimators for higher order co-moment parameters as they apply to the optimisation of hedge fund portfolios.

In the research paper published in the Winter 2012 issue of the Journal of Alternative Investments, entitled Optimal Hedge Fund Allocation with Improved Estimates for Coskewness and Cokurtosis Parameters, the authors find that use of these enhanced estimates generates a significant improvement for investors in hedge funds.

It is only when improved estimators are used and the sample size is sufficiently large that portfolio selection with higher order moments consistently dominates mean-variance analysis from an out-of-sample perspective, the paper finds.

To view the paper click here

Sponsored Content

Leave a Comment

GIC, Temasek eye trillions of growth in climate adaptation market

GIC, Temasek eye trillions of growth in climate adaptation market

Singapore’s two largest asset owners, GIC and Temasek, see attractive opportunities in climate adaptation solutions – a relatively underfunded area compared to decarbonisation. The former has already made selective adaptation investments and said the opportunity set across public and private debt and equity could increase to $9 trillion by 2050.

Sort content by

Investing for the long run

Long‐horizon investors have an edge. This paper argues to take advantage of the long-run investors should institutionalise contrarian behaviour by adopting a rebalancing rule, and redefining the concept of risk away from just volatility.mrec4inarticleinline Sponsored Content scnative1 scnative2 scnative3

Tail risk insurance a long-term cost blow-out

Insuring against tail risk is too costly and a drag on long-term performance, with AQR Capital Management research revealing investors should instead make changes to their portfolio construction and risk management policies to better protect against unexpectedly large losses.mrec4inarticleinline Sponsored Content scnative1 scnative2 scnative3

IMF assess China’s financial system stability

The International Monetary Fund has conducted a detailed analysis of the stability of the Chinese financial system. The stability of the financial system of the world’s second biggest economy has come under the spotlight as concerns about price bubbles in real estate markets, spiralling local government debt, and the sharp increase in off-balance sheet lending

Fiduciary duty: fantasy or fact?

In this challenging paper, Gordon Clark describes fiduciary duty as somewhat of a fantasy, because it looks to convention rather than forward to innovation in investment management.mrec4inarticleinline Sponsored Content scnative1 scnative2 scnative3

Conventional indexes still popular

A new EDHEC-Risk Institute survey of 104 European institutional investment professionals analyses the current uses and views on equity and fixed-income indexes.mrec4inarticleinline Sponsored Content scnative1 scnative2 scnative3

Autumn moods make for market blues

It’s no surprise to behavioural finance expert Professor Lisa Kramer that financial market dips and crashes typically happen in autumn.mrec4inarticleinline Sponsored Content scnative1 scnative2 scnative3

Previous