@article {Newman33, author = {David Newman and Charles Shaffer}, title = {Building the Organization to Support the 130/30 Opportunity}, volume = {16}, number = {4}, pages = {33--49}, year = {2007}, doi = {10.3905/joi.2007.698958}, publisher = {Institutional Investor Journals Umbrella}, abstract = {With projected assets of $1 trillion by 2010, 130/30 appears the likely vehicle for convergence of long and hedged equity asset management strategies. A recent Merrill Lynch white paper provides an A-to-Z guide for implementing 130/30 strategies, including organizational infrastructure, manager selection, risk management, prime brokerage, and staffing.TOPICS: Mutual funds/passive investing/indexing, manager selection, equity portfolio management}, issn = {1068-0896}, URL = {https://joi.pm-research.com/content/16/4/33}, eprint = {https://joi.pm-research.com/content/16/4/33.full.pdf}, journal = {The Journal of Investing} }