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问几个投资学的专业问题,望大家指教

发布时间: 来源:人大经济论坛

1. how should a fund manager's benchmark to be determined, and how to evaluate whether or not he has beaten the benchmark on a risk-adjusted basis?

2. How does an active manager attempt to beat his benchmark on a risk adusted basis? If he does, who loses? And does this contribute to market efficiency?

有朋友能帮忙回答这两个问题吗,谢谢了?

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