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Alternative Investment

Highlights

January 15

News Schroders launches first luxembourg ELTIF 2.0 fund in France

The asset management company, Schroder Investment Management (Europe) S.A. launched “Schroders Capital – Private Equity ELTIF 2023”, its first Luxembourg ELTIF 2.0 Private Equity fund distributed in France and internationally.

Innovation

Amundi and Sand Grove Capital launch event driven UCITS fund

Strategy

The index revolution (finally) comes to hedge funds

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March 2011

Innovation EXQIM announces the launch of Exqim Blue Fund

Created by two former senior executive managers of SGAM AI, Exqim launches Exqim Blue Fund, a multi-asset fund whose investment process is based on quantitative strategies and allocation.

March 2011

News NewAlpha Asset Management announces the initial closing of its fourth hedge fund seeding vehicle

NewAlpha 4 Genesis has completed its first closing of $150 million raised from French and Swiss institutional investors.

March 2011

Opinion Asset management: How to interpret managers awards?

One needs just to visit the premises of an asset management firm or to browse its website to find trophies and awards proudly displayed. What credit should be given to these awards?

March 2011

Interview Bruno Crastes : « Our models are still based on an enhanced version of the Black-Litterman model »

Former star managers of Amundi, Bruno Castres and Vincent Chailley have created H2O Asset Management, a London-based alternative management company. In an interview with Next-Finance, Bruno Castres unveils the firm’s objectives and (...)

March 2011

News BNP Paribas Investment Partners and BNP Paribas CIB announce the creation of THEAM

THEAM will combine BNP Paribas Asset Management’s SIGMA teams with those of Harewood Asset Management which was created in 2004 at the initiative of BNPP CIB’s Equity Derivatives teams.

March 2011

Strategy Social network: a new trading tool

The use of social networks in finance is no longer limited to communication, marketting or recruitment. Considered as relevant information databases, social networks are now included in news trading systems...

March 2011

Salary & Bonus John Paulson’s hedge funds has generated more than $32bn in net profits since inception

John Paulson is catching up with George Soros whose Quantum Endowment Fund has generated more than $35bn for clients since inception

March 2011

Regulation Regulatory outlook: 2011 and beyond

It is well documented that over the past two years the European and US Authorties have made numerous efforts to strengthen the regulatory and supervisory framework that apply to financial activities.

February 2011

Innovation H2O Asset Management launches a range of Global Macro UCIT funds: H2O Patrimoine, H2O Multibonds, H2O Adagio, H2O Moderato

At the crossroads of classic and alternative asset management, H2O Asset Management’s objective is to meet the needs and expectations of institutional, corporate and private clients for long?lasting, transparent and liquid performance asset (...)

February 2011

News George Soros Quantum posted worst year performances since 2002

George Soros’s Quantum Endowment Fund last year turned in its worst performance in nine years. The nearly $28 billion fund posted a «disappointing» 2.63% positive returns in 2010...

February 2011

News 2010 report on European asset management : specialists laugh, global players cry!

According to a study of Morningstar, the year 2010 has been a blank year for the European traditional industry of fund management with a strong outflow in the money market offset by inflows on risky assets ...

January 2011

People Moves The last Goldman’s prop traders are preparing to start their own Hegde fund!

Ariel Roskis and Daniele Benatoff, traders for the famous Goldman’s «Principal Strategies» desk, should start their Hegde funds in London in the second quarter ...

January 2011

News John Paulson manages to recover and is expected to earn $800 million!

Late gains let Paulson manages to save 2010 performances, two years after his winning bet that the U.S. housing market would crumble

December 2010

Opinion French alternative management: Towards a strong financial centre.

Following to their study on strenghts and weaknesses of France as an alternative management financial centre, Reinhold & Partners give us the main considerations for moving towards a strong financial center.

December 2010

Note Strengths and weaknesses of France as an alternative management financial centre

According to a study conducted by Reinhold & Partners, despite recognised human and technical resources, French alternative asset management, for reasons specific to the French market, and because it is suffering from a lack of image, has not developed as (...)

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Note Are markets becoming more unstable?

Readers of financial news may believe that ‘market corrections’, or ‘shocks’, or ‘five-sigma events’ are more common than they used to be. Winton Capital Management look at the historical data for a number of financial markets and find that there is no evidence for increasing (...)

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News Institutional investor appetite is back for quant funds

The recent CTA performances encourage institutional investors to more closely monitor this type of hedge fund. Thus, according to Preqin, 52% of them wish to increase their exposure to this type of alternative strategy this year (vs 14% last (...)

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Innovation EXQIM announces the launch of Exqim Blue Fund

Created by two former senior executive managers of SGAM AI, Exqim launches Exqim Blue Fund, a multi-asset fund whose investment process is based on quantitative strategies and allocation.

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Pedagogy What is Long/Short Equity ?

Hedge funds apply a vast array of investment strategies which can be more or less complex. In this article, we shall focus on the Long / Short strategy…

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Strategy Agricultural land rush of investment funds!

After launching products indexed to changes in prices of agricultural products, many banks and investment funds are turning now to the land acquisition...

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News Alternative investors hunt yield in post crisis Europe under review at Debtwire’s European Forum

Debtwire hosts its seventh European forum at the Dorchester in London today. Senior bankers, lawyers, investors, financial sponsors, corporate finance and debt advisory specialists will provide their insight on the current state of the debt market, spanning from primary (...)

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Note Hedge funds: The CTAs drift

Since mid-2011, CTAs cumulative loss is between -10.6% (HFRI macro systematic index) and -16.8% (Credit Suisse Managed Futures Index). For the first quarter of this year, CTAs show a drawdown of about 3% which is expected to increase in April (-0.66% for HFRX CTA index) (...)

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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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Opinion Combining différent styles for risk premia strategies

According to Ronen Israel, principal at AQR Capital Management, four investment “styles” — Value, Momentum, Carry and Defensive — have emerged as compelling sources of alternative returns, backed by economic theory and decades of data across geographies and asset (...)

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News Sunny Summer for Hedge Funds

The Lyxor Hedge Fund index was up a healthy +0.7% since the beginning of August, with progress in most strategies, supported by the positive performance of risky assets. The Bank of England’s activism and the Brexit timeline getting pushed back contributed toward easing (...)

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Strategy Concentrated long-short investing to achieve absolute return

According to Amit Kumar and Ashish Kochar, US Equity Portfolio Manager at Columbia Threadneedle Investment, investor caution on market outlook places increased focus on generating alpha. Long-short equity portfolios have the potential to generate greater alpha as individual (...)

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Strategy A Rising Tide Lifts Most Boats

The broad-based market upswing in the first half of July has benefitted risk assets globally. That follows the release of better than expected economic data in the US and China, suggesting that fears over the strength of the global recovery have been (...)

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Note Deutsche Bank releases annual Alternative Investment Survey highlighting hedge fund sentiment and allocation trends for 2016

Deutsche Bank released its 14th annual Alternative Investment Survey, one of the industry’s largest and longest standing hedge fund investor surveys...

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Strategy Social network: a new trading tool

The use of social networks in finance is no longer limited to communication, marketting or recruitment. Considered as relevant information databases, social networks are now included in news trading systems...

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Note ESMA report values EU Alternative Investment Funds at €5.8 trillion

The European Securities and Markets Authority (ESMA) today published its second statistical report on European Union (EU) Alternative Investment Funds (AIF). The study found that the EU AIF sector in 2018, as measured by Net Asset Value (NAV), amounted to €5.8tn or nearly 40% (...)

Focus

Interview Baptiste Buisson : « We consider increasing the size of this type of investment (Absolute Performance UCITS) in the coming quarters »

According to Baptiste Buisson, Deputy Director at Aviva France, Investing in this type of support like Alternative Risk Premia allows players like Aviva France to diversify our investments.

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