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CFA Level 3
Portfolio Management and Wealth Planning

Managing Market Risk Through Defensive Investments

Easy Risk Management Managing Market Risk

Sarah is a portfolio manager for a large institutional fund. She is preparing to adjust the fund's asset allocation to better manage market risk in light of recent economic indicators suggesting increasing volatility. Sarah is considering three different strategies: increasing the allocation to equities, investing in defensive sectors, and utilizing derivatives for hedging purposes. As she weighs her options, she aims to balance potential returns with risk mitigation for her clients.

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