Using Scenario Analysis to Help With Asset Allocation – A Simple Solution to a Complex Problem

(Harvest) The reason for asset allocation scenario analysis is simple. There is a whole crowd of investors who do use or are uncomfortable with formal decision-making employing optimization. Quantitative asset allocation models like Black-Litterman, while elegant in theory, have not caught-on with many who are on the frontline of asset allocation work. Running scenario analysis provides a useful thought experiments tool to help refine asset allocation choices.

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