Is Smart Beta Still Smart after Taxes?

被引:7
|
作者
Vadlamudi, Hemambara [1 ]
Bouchey, Paul [1 ]
机构
[1] Parametr Portfolio Associates, Seattle, WA 98101 USA
来源
JOURNAL OF PORTFOLIO MANAGEMENT | 2014年 / 40卷 / 04期
关键词
EQUITY INDEX STRATEGIES;
D O I
10.3905/jpm.2014.40.4.123
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
In this article, the authors focus on the after-tax performance of several smart-beta strategies. These strategies have higher turnover than the capitalization-weighted index, which leads to a greater tax on returns. Despite this drag, most strategies retain a long-term excess return. The authors also test the effectiveness of tax-managed versions of the strategies. They observe that, relative to most active managers, smart-beta strategies have lower turnover, greater breadth, and are less concerned with stock selection. By allowing a tracking-error risk budget versus the original strategy, tax management can reduce much of the tax impact.
引用
收藏
页码:123 / +
页数:13
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