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本文分析15种亚洲对冲基金投资策略和逻辑。1到13号,资产类别为股票;14号资产类别为货币和大宗商品;15号资产类别为波动性。《对冲基金1号》投资策略:股票长短仓—比指数回报好
This article analyzes 15 Asian hedge fund investment strategies and logic. 1 to 13, the asset class is the stock; the asset class 14 is the currency and commodity; and the asset class 15 is the volatility. “Hedge Fund 1” investment strategy: the long stock positions - the index returns better