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June 2016

News S&P Global Market Intelligence publishes Brexit data for the financial services industry

Ahead of Britain’s referendum on whether the U.K. chooses to stay or leave the EU, S&P Global Market Intelligence has expanded its coverage to look at different sectors of the financial services industry that may be directly affected by the potential (...)

June 2016

Strategy Subordinated debt – worth a look for yield-starved investors

Bonds yield little, while equities are not particularly cheap. Against that unappealing backdrop, looking beyond the beaten track for alternatives may prove rewarding. Anthony Smouha, CEO of Geneva-based Atlanticomnium, explains why he believes that junior debt could be an (...)

June 2016

News Multi-venue trading increases liquidity in EU equity markets despite duplicate orders, ESMA says

The European Securities and Markets Authority (ESMA) has issued today an economic report on order duplication and liquidity measurement in EU equity markets. Order duplication means that traders replicate the same order on multiple trading venues at the same (...)

June 2016

News AnaCap hits hard cap on third Credit fund with €595 million

AnaCap Credit Opportunities III was increased from an initial capacity of €550 million to cater for additional demand, although remained oversubscribed

June 2016

Opinion “Brexit”: dampening the downside but ready for opportunities

Paul O’Connor, Head of Multi-Asset, gives an update on the risks and opportunities in the run-up to the June EU referendum. With less than 40 days until the vote, opinion polls are fairly stable and suggest “remain” will be the outcome. However, the material risk of “Brexit” (...)

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