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July 2014

Strategy Next crisis will hit non-financial businesses, warns bond manager

Petercam’s Peter de Coensel has increased his exposure to financial bonds as the asset class offers safety and value from a credit perspective, the manager said.

July 2014

Note BofA Merrill Lynch Fund Manager Survey Finds Investors Positioning Aggressively for Recovery in H2

Global investors have regained a strongly bullish stance on the outlook for equity markets in the second half of 2014, according to the BofA Merrill Lynch Fund Manager Survey for July.

July 2014

Note BofA Merrill Lynch Fund Manager Survey Finds Investors Regaining Risk Appetite

Global investors have regained appetite for risk against the backdrop of strong liquidity and a fairly positive economic outlook, according to the BofA Merrill Lynch Fund Manager Survey for June.

May 2014

Opinion The risks for equities are limited

The crisis in Ukraine has global markets on edge—and investors fear that deflation could prove a long-term problem for the Eurozone. What matters most, though, is an objective look at economic and financial data.

April 2014

Note EDHEC-Risk Institute study shows that progress remains to be made in risk management for pension funds

The survey finds that LDI is popular, but in concrete terms the fund separation approach, which is consistent with the LDI paradigm, is not yet sufficiently widely applied to manage the LDI approach optimally, especially in southern European (...)

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