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Asset Allocation Does Macro Matter
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Quantitative Research Analyst, Asset Allocation Research
Despite narratives claiming the contrary, a higher degree of active management within LDI portfolios may be the best path to lower funded status risk for DB plans.
The Federal Reserve is likely to begin normalizing its balance sheet in 2017. Why hasn’t this news rattled the bond market?
Why is the U.S. housing sector diminishing when demand for housing remains robust?
In this issue, Research Affiliates offers insight into how the PIMCO All Asset strategies have responded to tightening credit spreads and discusses its framework for creating long-term return forecasts for stocks and bonds.
An active approach to the complex, fragmented municipal bond market may help investors avoid several common drawbacks of passive strategies.
With bonds at an inflection point, plan sponsors should rethink their bond options.
We offer insight into the most common questions from investors considering allocations in the rapidly evolving ARP category.
Learn more about quantitative investing and factor research in this in-depth guide.