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All the articles related to portfolio’s allocation

Articles

June 2016

News CalPERS to Commit Up to $11 Billion with Emerging & Transition Managers by 2020

The California Public Employees’ Retirement System (CalPERS) will hold a global solicitation process for its new Transition Manager Program that will seek investment proposals from eligible mid-size external investment managers. The solicitation will open in July (...)

June 2016

Opinion Brexit : While a “leave” vote is likely to cause a quick sell-off in risk assets, the more important market implications would play out over a much longer time frame.

According to David Lafferty, Chief Market Strategist, Natixis Global Asset Management, event risks that are accurately, or close to accurately, priced are difficult to hedge on the fly...

June 2016

Opinion Brexit viewpoint: generational differences

European equities manager Tim Stevenson gives his personal views on the UK referendum, assessing some of the current arguments around EU membership and the impact of a potential Brexit.

June 2016

Opinion How Brexit will impact the UK economy?

According to Daniele Bianchi, of Warwick Business School, is an Assistant Professor of Finance and researches financial econometrics, asset pricing and commodity markets, on the whole, the negative impact of Brexit on exchanges rates, on the political landscape, and on (...)

June 2016

Strategy Allocation June 2016: put up the umbrella?

Much water has flowed under the bridge since the highly challenging start to the year for the markets. The performance returned risky assets on the European stock markets have rallied 15% from their February lows. Although year-to-date returns are now practically flat, the (...)

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