另类投资尽职调查:经理人选择的主要驱动因素调查

IF 0.4 Q4 BUSINESS, FINANCE
Mark S. Rzepczynski, Keith Black
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引用次数: 1

摘要

虽然会计师事务所、银行和顾问已经进行了投资者调查,以评估对特定替代投资风格的选择,但这些调查的总体重点并没有放在经理选择的过程上。这些调查缺少的是决策是如何做出的。为了填补这一空白,我们对作为特许另类投资分析师协会(CAIA)成员的另类投资投资者和经理进行了广泛的调查,重点关注另类投资经理的选择过程。我们的研究调查了投资者和经理,以了解他们使用的关键变量,以支持经理选择,并更好地了解他们如何在另类投资中进行尽职调查。另类投资的经理技能评估比选择传统的投资经理更困难,需要对经理的哲学、文化和流程进行更多的定性分析。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Alternative Investment Due Diligence: A Survey on Key Drivers for Manager Selection
While investor surveys have been conducted by accounting firms, banks, and consultants to assess the choices for a specific alternative investment style, the general focus of these surveys has not been on the process of manager selection. What is missing from these surveys is how decisions are made. To fill that gap, we conducted an extensive survey of alternative investment investors and managers who are members of the Chartered Alternative Investment Analyst Association (CAIA) that focused on the alternative investment manager selection process. Our research surveyed investors and managers to gain insight on the key variables they employ to support manager selection and better understand how they conduct due diligence across alternative investments. Manager skill assessment for alternative investments is more difficult than selecting traditional investment managers and requires greater qualitative analysis of the philosophy, culture, and processes of the manager.
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来源期刊
CiteScore
1.50
自引率
14.30%
发文量
40
期刊介绍: The Journal of Alternative Investments (JAI) provides you with cutting-edge research and expert analysis on managing investments in hedge funds, private equity, distressed debt, commodities and futures, energy, funds of funds, and other nontraditional assets. JAI is the official publication of the Chartered Alternative Investment Analyst Association (CAIA®). JAI provides you with challenging ideas and practical tools to: •Profit from the growth of hedge funds and alternatives •Determine the optimal mix of traditional and alternative investments •Measure and track portfolio performance •Manage your alternative investment portfolio with proven risk management practices
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