Risk & Reward

Back

Factor investing has revolutionized the way investors construct their portfolios – through
a simple, transparent, rules-based approach that relies on factors to manage key drivers of risks and returns. But naïve implementation of factor strategies may prevent investors from unleashing a factor’s full potential. We show how investors can potentially improve factor premiums by diversifying across signals and removing exposures to unrewarded risks.

Register or log in to continue reading. Investment Officer is an independent journalism platform for professionals working in the Luxembourg investment industry.

A subscription is free for professionals working at banks and independent asset managers.