Browse CFA Level 2

Chapter 28: Active vs. Passive Equity Strategies

In this section

  • Fundamentals of Active Management
    Explore the core principles of active management—alpha generation, market timing, manager skill evaluation, risk controls, and behavioral biases—in a practical and slightly informal guide for CFA candidates and curious investors.
  • Indexing and ETF Innovations
    Explore how indexing strategies and ETF innovations reshape passive investing, including various index constructions, ETF creation and redemption mechanisms, and cutting-edge fund structures for diverse market exposures.
  • Factor Investing (Smart Beta)
    Explore how factor-based investing, or Smart Beta, systematically targets drivers of return such as value, momentum, quality, low volatility, and size to blend active-like performance potential with passively oriented rules-based execution.
  • Vignette Example: Strategy Selection
    Explore how a mid-sized pension fund compares active growth-focused management versus passive broad-market indexing, weighing fees, risk, market efficiency, and long-term performance.
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