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April 4

News Ellipsis Asset Management acquires the convertible bond business of Edmond de Rothschild Asset Management

Ellipsis Asset Management, a subsidiary of the Kepler Cheuvreux group and a European leader in convertible management, announces the acquisition of the convertible bond management business of Edmond de Rothschild Asset (...)

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AllianzGI with over EUR 50 billion AuM in infrastructure

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Schroders Greencoat builds on renewable energy demand with launch of semi-liquid energy transition fund

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April 2015

News Aviva faces a series of awkward questions at its AGM today over poorly provisioned French contracts potentially worth billions

Max Herve George, the French life assurance contract holder who wants Aviva to honour the Cours Connu or ’known price arbitrage contract’ he holds will be attending the Aviva AGM today to ask the company again how many other similar contracts still (...)

April 2015

News European ETF market flows remained sustained in March 2015.

NET NEW ASSETS (NNA) during this month amounted to EUR  6.4 billion, nearly 20% above one-year average flows. Total Assets under Management are up 20% vs. the end of 2014, reaching EUR  436  billion, and include a significant market impact (...)

April 2015

News ING Group to issue USD denominated Additional Tier 1 securities

ING Group intends to issue securities that qualify as Additional Tier 1 capital under CRD IV / CRR. The intended issuance is expected to further strengthen ING’s capital base.

April 2015

News Nomura Institute of Capital Markets Research enhances Asia coverage through Singapore

Nomura, Asia’s global investment bank, today announced that Nomura Institute of Capital Markets Research (NICMR) will enhance the Group’s financial and capital markets research capabilities in Asia with a special focus on ASEAN (...)

March 2015

News Monthly European ETF Market Trends for February 2015

European ETF market flows for February 2015 came very close to last month’s three-year record high. Net New Assets (NNA) over the month totalled EUR 10.4 billion. Total Assets under Management are up 17% vs. the end of (...)

March 2015

News CalPERS Commits $75 Million to Emerging Manager Program Firm Siris Partners

The California Public Employees’ Retirement System (CalPERS) today announced that it has committed $75 million to private equity firm Siris Partners. This is the first direct commitment to Siris, who has previously received commitments from CalPERS through the System’s (...)

March 2015

News Euronext expands listed private placement bonds offer

Euronext, the primary exchange in the euro zone, today announced the launch of Euronext Private Placement Bonds (EPPB). A pan-European initiative, this new product rounds out Euronext’s existing private placement bond range by extending it to (...)

March 2015

News Sucessfully riding the thematic reversal

The Lyxor Hedge Fund Index was up +1.7% in February. 10 out of 12 Lyxor Indices ended the month in positive territory, led by the Lyxor Special Situation Index (+5.3%), the Lyxor CTA Short Term Index (+3.5%), the Lyxor Convertible Bond Arbitrage Index (...)

March 2015

News Caisse de dépôt et placement du Québec and Hermes Infrastructure intend to own 30% and 10% of Eurostar respectively

Patina Rail LLP, a consortium comprising Caisse de dépôt et placement du Québec (“CDPQ”) and Hermes Infrastructure, part of Hermes Investment Management, has announced that they have agreed to acquire a 40% shareholding in Eurostar International Limited (“Eurostar”) from the UK (...)

March 2015

News Euronext announces monthly trading volumes for february 2015

Activity on commodity derivatives remained strong in February with an average daily volume of 52,474 contracts traded, up 18% when compared to February 2014...

March 2015

News ING to sell remaining stake in Voya Financial

ING announced today it agreed to sell shares of common stock of Voya Financial, Inc. in an underwritten public offering. In addition, ING Group has entered into a share repurchase agreement with Voya under which Voya will repurchase USD 600 million of its shares of common (...)

February 2015

News Nomura Reorganizes Asset Management Division

Nomura Holdings, Inc. (Nomura) today announced plans to reorganize three core companies in its Asset Management division: Nomura Asset Management Co., Ltd. (NAM), Nomura Funds Research and Technologies Co., Ltd. (NFR&T), and Nomura Private Equity Capital Co., Ltd. (...)

February 2015

News Lyxor announces new partnership with Quantmetrics for its AIFM managed account platform

Lyxor Asset Management (“Lyxor”) announces a new partnership with Quantmetrics Capital Management (“Quantmetrics”) to join Lyxor’s AIFM managed account platform. With this partnership, Lyxor will launch its first AIFMD-compliant strategy on the (...)

February 2015

News La Française Partners with Alger

La Française, an international multi-class asset manager, announces the signing of a strategic partnership (pending regulatory approval) with Alger Management, Ltd. (“Alger”).

February 2015

News CalPERS Joins Large Investors Calling for Green Bond Market Principles

The California Public Employees’ Retirement System (CalPERS) has joined an investor group of existing and potential green bond buyers calling on the green bond market to adhere to a set of principles that provide greater clarity on eligibility, disclosure, transparency, and (...)

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News BlackRock Agrees to Acquire Global Infrastructure Partners (“GIP”), Creating a World Leading Infrastructure Private Markets Investment Platform

GIP is the world’s largest independent infrastructure manager with over $100 billion in AUM and a strong reputation for driving operational improvements in its portfolio companies & proprietary origination

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News Agence France Trésor announced the successful launch of the first French sovereign green bond

Today, Agence France Trésor announced the successful launch of the first French sovereign green bond with a maturity of 22 years. The Green OAT 1.75% 25 June 2039 issuance amount was €7bn, making it the largest and longest-dated green bond ever (...)

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News Julius Baer to acquire Merrill Lynch’s International Wealth Management business outside the United States from Bank of America

BofAML will provide certain products and services to Julius Baer, including the provision of global equity research, product offerings, as well as structured and advisory products. In addition there will be cross-referral of clients between both (...)

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News Credit Strategy : Follow The Flow: No flows...no bull market

BofA Merrill Lynch Global Research highlights the importance of the peripheral trade (BTPs vs. Bunds) for the health of the credit market. Should peripheral spreads fail to rebound, BofA Merrill Lynch think that flows into credit will struggle going forward and so will (...)

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News Antalis International lists on Euronext Paris

Euronext today welcomed Antalis International, the European leader distributor of Papers, Packaging products, and Visual Communication materials, to compartment B of Euronext’s regulated market in Paris.

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News SUEZ successfully launches a 500 million euros green bond issuance

With a 5.5 times oversubscription and an order book totalling 2.7 billion euros, this issuance has been a huge success. More than 200 investors have once again shown their confidence in SUEZ: the very strong demand allowed to tighten the credit margin by 40 bps compared with (...)

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News Amaranth and its prominent trader Brian Hunter prosecuted

The CTFC lodged a complaint against the Amaranth hedge fund and its former prominent trader Brian Hunter for attempting to manipulate prices on the natural gas futures market...

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News Avantium celebrates its listing on Euronext Amsterdam and Brussels

Euronext Amsterdam and Euronext Brussel today welcomed Avantium, a leading chemical technology company and forerunner in renewable chemistry. The listing follows the company’s successful Initial Public Offering (IPO), with a total offering of € 125.8 million Including maximum (...)

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News CSOP issues first thematic equity product with new Cloud Computing ETF, tracking Solactive Global Cloud Computing Technology Index

Saving valuable data online, sharing files with friends, and switching devices seamlessly have one thing in common: all of these processes utilize the power of cloud computing as the technical foundation of its services. Valued at USD 266.0 billion in 2019, the cloud (...)

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News Natixis supports the measures announced by H2O Asset Management and confirms the principles of its multiaffiliates model

Following the information released on 20th June 2019 by Natixis and H2O Asset Management and the statements of H2O Asset Management made earlier today, Natixis today provides the following additional information.

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News S&P Capital IQ and SNL finds that risk exposure exceeds 75% of world gross domestic product at global systematically important banks (G-SIBs)

Research shows concentrated financial risk as the world’s 30 G-SIBs have $59.759 trillion in exposures; the top 20 banks account for 83% of that total

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News Fitch: North America Sovereign Outlook Stable as Growth, Government Debt Ratios Steady

Fitch Ratings expects economic growth in North America to improve in 2016. The U.S. economy will grow 2.5%, the same rate as in 2015, while Canadian growth will improve to 2% in 2016 from just 1% in 2015. Growth in both the (...)

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News CNP Assurances : Successful €500m Tier 3 notes issue

CNP Assurances has successfully placed €500 million worth of notes due 8 March 2028 and paying interest at 0.375%. The notes qualify as Tier 3 capital under Solvency II. Its cost is the lowest ever paid for hybrid capital by a financial institution in (...)

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News Muzinich & Co announces first close of European Senior Secured Private Debt Fund

The Fund focuses on providing growth financing solutions for European middle-market companies and explicitly incorporates environmental, social and governance (ESG) considerations and monitoring into the investment (...)

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News Norway’s sovereign wealth fund returned -0.9 percent, or -73 billion kroner, in the second quarter of 2015.

Equity investments returned -0.2 percent, and fixed-income investments -2.2 percent. The return on these investments was 0.4 percentage point higher than the return on the benchmark indices. Investments in real estate returned 2.0 (...)

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News Institutional investor appetite is back for quant funds

The recent CTA performances encourage institutional investors to more closely monitor this type of hedge fund. Thus, according to Preqin, 52% of them wish to increase their exposure to this type of alternative strategy this year (vs 14% last (...)

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