Publications
Publications
- January 2011 (Revised June 2012)
- HBS Case Collection
Martingale Asset Management LP in 2008, 130/30 Funds, and a Low-Volatility Strategy (TN)
By: Robin Greenwood and Luis M. Viceira
Abstract
Teaching Note for 209-047.
Citation
Greenwood, Robin, and Luis M. Viceira. "Martingale Asset Management LP in 2008, 130/30 Funds, and a Low-Volatility Strategy (TN)." Harvard Business School Teaching Note 211-079, January 2011. (Revised June 2012.)