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Quantitative fund : ウィキペディア英語版 | Quantitative fund
A quantitative fund or quant is an investment fund in which investment decisions are determined by numerical methods rather than by human judgment. ==Market outlook== In recent years, quantitatively managed funds have become a popular method used by newly launched mutual funds as asset managers adopted statistical models to explore profits that may be made out of market abnormalities. As of year-end 2004, 70 quantitative products that had an established track record by Casey, Quirk & Associates managed $157 billion, nearly double the assets from three years earlier when they stood at about $88 billion. By comparison, the assets in non-quant products increased to $925 billion from $720 billion, a 9 percent increase. Yet, quantitative investing accounts for 16 percent of actively managed assets in the U.S., up from 13 percent in 2003, according to Vanguard.〔("Not the Man, But the Machine" ), Kevin Burke, 2006〕 After the sub-prime mortgage market turbulence, which cast long shadows over many parts of the financial industry, the total mutual fund asset that employ quantitative model is estimated to be over 400 billion US dollars〔According to Lipper, a newly established internal report 〕 at the end of this June.
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