Systematic quarterly rebalancing may help revenue-weighted portfolios seek potentially high yields.
In a tough year for quant strategies, factor investing shines.
Looking at fundamentals of dividend stocks can help investors avoid unpleasant surprises.
Christopher Polk of the London School of Economics discusses the outlook for quantitative investing.
A dynamic approach to factor investing can help investors outperform the market.
Stretched valuations and shifting momentum may disrupt the group of market leaders.
Strong July performance helped low volatility edge out momentum, while value finished last.
The economic and interest rate picture in international markets may attract dividend investors.
More than a buzzword, smart beta offers sophisticated strategies to pursue market returns.