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The abundance of theoretical and empirical research on factor investing in the equity universe contrasts strongly with the relative scarcity of research on the existence and exploitability of risk premia in bond (...)
The Finish independent asset manager Evli remains very positive on Nordic corporate bonds risk-return profile. With a strong experience on this market, Evli offers to highlight through this news flash the characteristics and the quality of this fixed income (...)
In a context where rising trade uncertainties have interrupted the rally in risk assets, L/S Credit strategies have been resilient in May so far. Such resiliency took place despite a widening in High Yield (HY) credit spreads, by approximately +35bps both in Euro and in (...)
Technology unicorns are in the spotlight, with Uber’s recent high-profile IPO. As scrutiny of their business models intensified, we think investors should also ask tough questions about publiclytraded companies with high sales growth but scant cash (...)
One key effect of the reduced borrowing may have been to encourage record low interest rates, both in the U.S. and elsewhere, as lenders attempted to reignite the borrowing cycle. while a slowdown in debt issuance drove up bond prices, pushing yields (...)
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