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A hedge fund is a pooled investment fund that holds liquid assets and that makes use of complex trading and risk management techniques to improve investment performance and insulate returns from market risk.
A hedge is an investment position intended to offset potential losses or gains that may be incurred by a companion investment. A hedge can be constructed from many types of financial instruments, including stocks, exchange-traded funds, insurance, forward contracts, swaps, options, gambles, [1] many types of over-the-counter and derivative products, and futures contracts.
A hedge fund manager is a highly skilled individual, often a chartered financial analyst (CFA), who uses his knowledge and expertise to manage the fund’s investments.
A hedge fund offers people the chance to invest in a portfolio, with returns based on how well the portfolio’s underlying investments do. The fund itself makes most of its money from the fees ...
Hedge funds are run by investment professionals who research and choose companies to invest in. Investors seeking passive investments, choose hedge funds because its managers handle the day-to-day ...
Below are the 20 largest hedge funds in the world ranked by discretionary assets under management (AUM) as of mid-2024. Only assets in private funds following hedge fund strategies are counted. Some of these managers also manage public funds and offer non-hedge fund strategies.