In his article, Ibbotson (2010) investigates the impact of a long-term asset allocation policy on portfolio performance against that of active management with respect to security selection and market timing. The paper draws its inferences from reviewing existing literature on empirical studies examining the same. The issue of contention arises from conclusions made by Brinson, Hood, and Beebower (BHB, 1986) that asset allocation policy was responsible for more than 90% of the return variations of an average fund over time, with market timing and security selection playing minor roles. In contrast, the critics of the BHB model (e.g. Ibbotson ...
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