Skill Versus Luck: Taking the Guessing Out of Equity Fund Selection
暫譯: 技能與運氣:消除股票基金選擇中的猜測
Ervolini, Michael A.
- 出版商: Summit Valley Press
- 出版日期: 2026-02-03
- 售價: $1,700
- 貴賓價: 9.5 折 $1,615
- 語言: 英文
- 頁數: 184
- 裝訂: Hardcover - also called cloth, retail trade, or trade
- ISBN: 0262052180
- ISBN-13: 9780262052184
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相關分類:
投資理財 Investment
尚未上市,無法訂購
商品描述
How to move beyond guessing about manager skill with decision-based analytics, not the outcome-based analytics used at present. Skill is the raison d'être for active equity management. Yet precious little is known about manager skill. What is skill? Who has it? How should it be measured? Is a manager's skill improving, declining, or remaining consistent? Unable to answer such fundamental inquiries capital, allocators have no choice but to rely on inferences, hunches, and guesswork. In Skill Versus Luck, Michael Ervolini explains how to move beyond today's skill fog with the use of newer analytics developed over the past decade. Unlike conventional analytics that simply rehash fund outcomes, the newer analytics relate a manager's decisions to fund excess returns. These new cause-and-effect analytics provide rigorous measures of manager skill. Results from these newer analytics enable capital allocators to understand manager skills for the first time and make more effective allocation decisions.
商品描述(中文翻譯)
如何透過基於決策的分析超越對經理技能的猜測,而非目前使用的基於結果的分析。
技能是主動股票管理的 raison d'être。然而,對於經理的技能所知甚少。什麼是技能?誰擁有它?應該如何衡量?經理的技能是在提升、下降還是保持穩定?無法回答這些基本問題的資本配置者別無選擇,只能依賴推論、直覺和猜測。 在 Skill Versus Luck 中,Michael Ervolini 解釋了如何利用過去十年開發的新分析工具,超越當前的技能迷霧。與簡單重述基金結果的傳統分析不同,這些新分析將經理的決策與基金的超額回報相關聯。這些新的因果分析提供了經理技能的嚴謹衡量。這些新分析的結果使資本配置者首次能夠理解經理的技能,並做出更有效的配置決策。作者簡介
Michael A. Ervolini has over 45 years of executive experience in institutional asset management. He is the founder and previously the CEO of two fintech companies: Cabot Investment Technology Inc. and Charter Research LLC. He is the author of Managing Equity Portfolios (MIT Press).
作者簡介(中文翻譯)
邁克爾·A·厄沃利尼(Michael A. Ervolini)在機構資產管理方面擁有超過45年的高層管理經驗。他是兩家金融科技公司的創始人,並曾擔任首席執行官:Cabot Investment Technology Inc. 和 Charter Research LLC。他是《Managing Equity Portfolios》(麻省理工學院出版社)的作者。