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MiB: Elizabeth Burton, Goldman Sachs Asset Management

The Big Picture

This week, we speak with Elizabeth Burton , managing director and client investment strategist at Goldman Sachs Asset Management. She advises institutional clients on investment strategies and portfolio objectives, working alongside global client advisers and product strategists across public and private markets.

Assets 301
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Top 5 Risk Management Strategies

Risk Management Guru

There are basically five strategies which can help you in allocating your risk management. If you have a firm grasp of these elements and how they influence stock market fluctuations, you will be in a better position to plan your investments. Any other approach will reduce your investments to mere gambling. Conclusion.

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Research links: strict risk management

Abnormal Returns

alphaarchitect.com) Performance The performance of tactical asset allocation mutual funds has been no great shakes. evidenceinvestor.com) Research The accounting treatment of intangible investments is too conservative. Inflation Hedging inflation is harder than it looks.

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A Look at How a Variety of Risk Management Approaches Have Worked in 2022

Validea

For the last 40 years, managing risk for investors has been pretty easy. But many investors have not seen significant inflation during their investing careers and didn’t recognize that during inflationary bear markets, bonds do the opposite and fall along with stocks. But that doesn’t mean there was no way to manage risk.

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Transcript: Elizabeth Burton, Goldman Sachs Asset Management

The Big Picture

The transcript from this week’s, MiB: Elizabeth Burton, Goldman Sachs Asset Management , is below. Elizabeth Burton is Goldman Sachs asset management’s client investment strategist. Previously she was Chief Investment Officer at various state pension funds, including Maryland and Hawaii.

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Portfolio Risk Management: How to Measure and Manage Portfolio Risk

WiserAdvisor

Investing your money involves a number of strategies and instruments. This is why it always contains an element of risk. The ideal investment term for each instrument also differs. So, the decision to pick an option can depend on the investment term and whether or not it aligns with your financial goals.

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Quantitative Asset Management – Building Systematic Real-World Strategies | Michael Robbins

Validea

In this episode, we take a deep dive into quantitative investing with Michael Robbins, author of the new book “Quantitative Asset Management: Factor Investing and Machine Learning for Institutional Investing.” 33:44 – The different types of models 37:51 – Is value investing dead?

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