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Asset management’s articles related to single strategies

Articles

April 2019

Strategy Risk Assets: Don’t let your intuition lead you astray

The first quarter of 2019 certainly ended with a brighter outlook than could be seen when it began. The resolution of several uncertainties and clear signals of support for the economy coming from central banks are reviving attraction to and appetite for risk assets. Does (...)

April 2019

Strategy Targeting positive returns in an uncertain climate

A decade after the financial crisis, the uncertain economic conditions it ushered in are starving Europe’s investors of returns. We believe this makes our approach to long/short equity investing more valuable than (...)

April 2019

Strategy An alternative to traditional Euro Credit Management: a Smart Beta Credit approach incorporating ESG criteria

To achieve long-term returns comparable to those of investment-grade credit but with a consistently lower level of risk, CPR AM has chosen to combine the DTS risk measure with a rigorous specific risk control and structural sources of return to enhance (...)

April 2019

Strategy Implications for hedge funds of the renewed quest for yields

As the first quarter of 2019 is coming to an end, we discuss recent hedge fund performance and our midterm outlook for hedge fund strategies.

March 2019

Strategy Re-weighting carry strategies

In a context where monetary conditions are more accommodative and sovereign bond yields are back to low levels, it seems appropriate to re-weight carry strategies such as EM-focused Global Macro and L/S Credit.

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