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Enthusiasm for managed futures has grown dramatically as investors have discovered the industry’s successes over the past 25+ years—and particularly during the financial crisis of 2008. But private MF programs have high minimums, making them available only to an elite. How do the public MF funds stack up?
It’s easier than you think to analyze worst-case market scenarios and risks with Microsoft Excel functions and spreadsheets. Various statistical estimates computed through Excel can help define, model, and anticipate tail risk in the management of client portfolios.
A new wave of ETFs and ETNs offer more ways to soften the blowback from higher rates.
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