The Savvy Investor Blog


Factor Investing: The "Low Volatility" Factor

Sustainability and Stewardship for Institutional Investors

Volatility measurement, the ERP, and downside risk over long time horizons

Investment Management Fees and the Impact of Competition, Transparency, Compression, and Regulation

Brexit Update: Best White Papers, Summer 2018

Attribution Analysis and Risk-Adjusted Returns - getting under the hood

Top 20 White Papers of July 2018

Cashflow Driven Investing for Maturing UK DB Schemes

Shining a Spotlight on Disruptive Innovation

Small Cap Investing and the Size Premium

Investment Podcasts for Professional Investors

ESG investing - making the world a better place?

Growing an Asset Management business: top white papers

The 10 Top Papers for US Pension Plans - 2018 H1

Canadian Pensions - The top 10 papers of 2018 H1

The top white papers on Sovereign Asset Management

TAA - Risk and Return - Strategies and Processes

Infrastructure Investing - H1 2018

Unconstrained and Absolute Return Fixed Income Investing

Top 20 White Papers of June 2018

Emerging Markets Debt Outlook

Risk Tolerance and Absolute Returns

Impact Investing, Sustainability and the Green Economy

Shareholder Engagement and Active Ownership

Selecting and Implementing Smart Beta Strategies

Comparing ETFs and Futures

Trade Wars and Big Picture Economics

Top 20 Whitepapers of May 2018

Risk & Reward in Asset Allocation

Active vs Passive - The Great Debate