Abstract
This article is an adapted and modified excerpt of Chapter 18 of Steven Schoenfeld's recently published book, Active Index Investing: Maximizing Portfolio Performance and Minimizing Risk Through Global Index Strategies, published by Wiley Finance in August 2004. The complete chapter includes a focus on how one of the world's most sophisticated investing institutions actively uses index products. The authors wish to thank Niklas Nordenfelt—their co-author of the longer chapter in the book.
- © 2004 Pageant Media Ltd
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