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This paper examines the performance of 538 sovereign wealth fund (SWF) investments into venture capital, private equity, and real asset funds ("alternative asset funds") from 52 countries around the world over the years 1995-2020. The data indicate SWFs are significantly slower to fully...
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During the last decade, the U.S. mutual fund industry experienced an unprecedented movement toward passive investments. We tie this shift to underperformance in active funds stemming from a reduction in alpha opportunities. As alpha opportunities decrease, performance predictors like Active...
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Using detailed mutual fund holdings in the US market, we estimate active mutual fund managers’ loss aversion as a function of both funds’ past performance and asset allocations. We document a substantial variation in loss aversion over time. We further find managers' loss aversion is higher...
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