I am looking for a research report of approximately 2,500 words regarding the Abu Dhabi Investment Authority Sovereign WEalth Fund.
The report should have an introduction, main body and conclusion, and cover the below:
-Investment objectives, strategies and constraints of the fund
-Long and short term capita market expectation
-How their market view impacts the strategy and tactics for asset allocation decisions
- Recent developments of the funds asset allocation
-What impact global monetary and fiscal policy has on the funds decision making
-Has the wealth fund increased the use of passively managed vehicles and external active asset managers
-Analyze the research methods for stock selection.
-Outline any style biases for active management decisions
-Focus on Socially Responsible investing