克罗地亚强制性养老基金的积极管理是否为第二支柱基金成员创造了价值

P. Matek, Maša Radaković
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引用次数: 5

摘要

本文采用绩效归因方法分析了克罗地亚强制性养老基金2005-2014年期间的投资回报。将积极投资管理的结果与长期政策回报进行比较。这种分析对于阐明主动投资组合管理在第二支柱养老金计划中的贡献至关重要。有证据表明,在所分析的时间段内,投资组合经理通过积极的管理决策增加了价值。此外,我们将主动收益分解为政策效应、战术资产配置效应和证券选择效应,确定了投资组合收益的来源。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Is active management of mandatory pension funds in Croatia creating value for second pillar fund members
This paper analyses Croatian mandatory pension funds’ investment returns during the 2005-2014 period using performance attribution methodology. Results from active investment management are compared to a long-term policy return. Such analysis is essential to shed light on the contribution of active portfolio management in the second pillar pension scheme. Evidence suggests that in the period analysed portfolio managers have added value through active management decisions. In addition, we determined the sources of portfolio return by breaking down active return into policy, tactical asset allocation and security selection effect.
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