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Strategic Rethinking

机译:战略反思

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摘要

The art of asset allocation hasn't changed that much since Harry Markowitz laid the ground-work for Modern Portfolio Theory more than 50 years ago. In almost zombielike fashion, investors typically recalibrate their investment return projections every three to five years. But taking the usual approach to strategic asset allocation will result in missed opportunities, because it ignores the huge impact that economic changes can have on medium-term returns. The fundamentals of the economy have changed dramatically during the past tumultuous year and a half. In December 2007 many people did not realize we were in a recession. Today we all know we are in a recession and that it is likely nearing its end. As a result, the target returns used in strategic asset allocation need to be adjusted.
机译:自哈里·马科维茨(Harry Markowitz)于50多年前奠定了现代投资组合理论的基础以来,资产分配的技术并未发生太大变化。投资者通常以近似僵尸的方式每三到五年重新调整其投资回报预测。但是,采用通常的战略资产配置方法将导致机会错失,因为它忽略了经济变化可能对中期收益产生的巨大影响。在过去一年半的动荡中,经济基本面发生了巨大变化。在2007年12月,许多人没有意识到我们正处于衰退之中。今天,我们都知道我们正处于衰退之中,而且衰退可能已接近尾声。因此,需要调整战略资产分配中使用的目标收益。

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