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What Is an Index?

Author(s)
Lo, Andrew W
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Abstract
Technological advances in telecommunications, securities exchanges, and algorithmic trading have facilitated a host of new investment products that resemble theme-based passive indexes but which depart from traditional market-cap-weighted portfolios. I propose broadening the definition of an index using a functional perspective—any portfolio strategy that satisfies three properties should be considered an index: (1) it is completely transparent; (2) it is investable; and (3) it is systematic, i.e., it is entirely rules-based and contains no judgment or unique investment skill. Portfolios satisfying these properties that are not market-cap-weighted are given a new name: “dynamic indexes.” This functional definition widens the universe of possibilities and, most importantly, decouples risk management from alpha generation. Passive strategies can and should be actively risk managed, and I provide a simple example of how this can be achieved. Dynamic indexes also create new challenges of which the most significant is backtest bias, and I conclude with a proposal for managing this risk.
Date issued
2016-01
URI
http://hdl.handle.net/1721.1/109050
Department
Sloan School of Management
Journal
The Journal of Portfolio Management
Publisher
Institutional Investor, Inc.
Citation
Lo, Andrew W. “What Is an Index?” The Journal of Portfolio Management 42.2 (2016): 21–36.
Version: Original manuscript
ISSN
0095-4918

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