Case File
efta-01364389DOJ Data Set 10OtherEFTA01364389
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DOJ Data Set 10
Reference
efta-01364389
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Cost and Liquidity Advantages
- Risk Premia investing has grown from a relatively niche investing style into a significant global
investment industry with a broad range of participants.
— The substantially greater liquidity and lower cost of these investments when compared to HFs
is leading to rapid adoption among institutional clients.
NBIM
Norges Bank Investment Management
■ Norges Bank Investment
Management, manager of the
Norwegian state oil fund
■ Began a study of portfolio returns in
2008, following equity market losses
— identified systematic risk premia as
a meaningful diversifier to its large
equity beta portfolio
■ In the process of implementing Risk
Premia Approach across multiple
premia
Andra AP-fonden
ShnNa Seer..NA lIerNexil has.on
an
■ AP2, one the Swedish state pension
funds
■ Identified systematic risk premia as
underlying the returns of many
hedge funds — managers were
generating alternative beta, rather
than true alpha
■ AP2 is now implementing Risk
premia investments across asset
classes as a transparent, liquid, low-
cost alternative to hedge funds and a
diversifier to equities
pka
■ PKA pension, a large Danish
occupational pension fund manager
■ Implementing a strategic overhaul of
its entire equity investment strategy
■ Unwinding all traditional external
equity mandates, in favour of a
highly diversified portfolio of Risk
premia investments, capturing both
traditional and alternative betas
within the equity space
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
DB-SDNY-0054922
CONFIDENTIAL
SDNY_GM_00201106
EFTA01364389
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