EDHEC-Risk European Index Survey 2011.
No. | Call n° | Bar code | Commentary | |
---|---|---|---|---|
1 | [available] |
Url : https://www.edhec.edu/fr/publications/edhec-risk-european-index-survey-2011
Contents : Executive Summary
1. Introduction
2. Background
2.1 The indexing industry
2.2 Evaluating the quality of indices
2.3 Indices in specific asset classes
3. Methodology and Sample
4. Results
4.1 Evaluating qualities of indices and overview across asset classes
4.2 Equity indices
4.3 Fixed income indices
4.4 Equity volatility indices
5. How do Responses Differ between Respondent Types?
5.1 Asset owners vs. third-party asset managers
5.2 More equity-oriented countries vs. less equity-oriented countries
5.3 Small and medium investors vs. large investors
5.4 Highly satisfied by current equity indices vs. less satisfied by current equity indices
6. Conclusions
References
About EDHEC-Risk Institute
EDHEC-Risk Institute Publications and Position Papers (2008-2011)
Language : English
Series : ETUDE/RAPPORT
Material : Electronic ; Paper
Owner : Bibliothèque