What is the primary strategy of the market neutral anti-beta fund?
Why One ETF Causes an Investor to 'Sleep Well at Night'

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5 questions
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1.
MULTIPLE CHOICE QUESTION
30 sec • 1 pt
Investing equally in all market sectors
Going long on high beta stocks and short on low beta stocks
Focusing solely on high dividend stocks
Going long on low beta stocks and short on high beta stocks
2.
MULTIPLE CHOICE QUESTION
30 sec • 1 pt
Why might purity in factor investing be considered a curse in a bull market?
It results in lower returns compared to the market
It leads to higher transaction costs
It requires constant rebalancing
It increases the risk of the portfolio
3.
MULTIPLE CHOICE QUESTION
30 sec • 1 pt
What is a key difference between traditional smart beta products and the market neutral strategy?
Smart beta products are more diversified
Market neutral strategy provides uncorrelated return streams
Smart beta products focus on short selling
Market neutral strategy is only for accredited investors
4.
MULTIPLE CHOICE QUESTION
30 sec • 1 pt
Why is it important for portfolio managers to invest in their own funds?
To increase the fund's market value
To align their interests with investors
To avoid regulatory issues
To diversify their personal investments
5.
MULTIPLE CHOICE QUESTION
30 sec • 1 pt
What is the suggested role of advisors for retail investors dealing with complex products like the market neutral strategy?
To manage their entire portfolio
To provide tax advice
To help reduce transaction costs
To guide them through the complexities
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