The Risk Report: Key Findings from a Four-Year Analysis of Institutional Portfolios


When portfolios don’t deliver outcomes as expected, the number one question is “Why?” In this Risk Report, the answers are provided through an examination of more than 200 institutional equity portfolios, representing more than $200 billion assets. What was discovered may surprise you. From a portfolio’s exposure to uncompensated risks to the performance-hindering “cancellation effect,” there were six common drivers of unexpected portfolio results. 

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