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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

Interview Malik Haddouk : « In fixed income we are focusing in the short term on exposure to long maturities »

In fixed income, Malik Haddouk, Head of Balanced Management at CPR Asset Management and his team are focusing in the short term on exposure to long maturities (> 10 years), which are likely to get a boost from quantitative easing and weak (...)

March 2015

Strategy Prevent structural asset allocation biases to improve responsiveness

Performance drivers and risk factors are unstable parameters, at least in the short to mid-term. As a result, delivering returns over a relatively long horizon whilst avoiding transitory market shocks is no easy task for portfolio managers. While asset allocation is the main (...)

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