›  News 

Highlights

January 6

News Norges Bank Investment Management makes new investment in US logistics

Norges Bank Investment Management has acquired a 45 percent interest in a logistics portfolio in the US, comprising 48 buildings in Southern California, New Jersey, and Pennsylvania, in a new joint venture with Goodman (...)

News

Ellipsis Asset Management acquires the convertible bond business of Edmond de Rothschild Asset Management

News

AllianzGI with over EUR 50 billion AuM in infrastructure

Archives

Latest articles

Popular articles

June 2017

News Aberdeen adds smart beta fund to quant product range

The Fund offers exposure to five targeted ‘risk premia’ factors: value, quality, momentum, small size and low volatility. The investment objective is to provide investors with risk-adjusted returns with an emphasis on income generation and a volatility well below that of (...)

June 2017

News CalPERS’ Climate Risk Reporting Proposal Passes at Exxon Mobil

The California Public Employees’ Retirement System’s (CalPERS) climate risk reporting shareowner resolution passed today at the annual shareowner meeting of Exxon Mobil.

May 2017

News Instinet launches RQ Connect

Offers open connectivity to third party data for research distribution, monitoring and evaluations; creates a provider-neutral hub for MiFID II research payments

May 2017

News Export Development Canada prices third Green Bond, responding to rising global interest in climate financing

Export Development Canada (EDC) priced USD 500 million 1.625% Fixed Rate Green Bond due June 1, 2020. The lead underwriters were HSBC, J.P. Morgan and SEB. This offering is scheduled to close on June 1, 2017.

May 2017

News BNP Paribas announces settlement with NY DFS regarding its inquiry into activity in the FX markets from 2007 to 2013

BNP Paribas announced a settlement with the New York State Department of Financial Services (DFS) relating to its investigations into past misconduct in BNP Paribas’ foreign exchange business.

May 2017

News Euronext to acquire FastMatch and expand into global FX markets

Euronext announces the acquisition of c.90% of FastMatch, Inc. for $153 million initial cash consideration. FastMatch’s management will remain invested with a c.10% interest, with minority rights. Closing is subject to regulatory and anti-trust approvals, and is expected to (...)

May 2017

News CalPERS Investment Office Saves Millions in Expenses over Six-Year Period; More Cost Effective than Peers

The California Public Employees’ Retirement System (CalPERS) today reported annual ongoing fees and expenses for its investment operations have declined by approximately $402 million since fiscal year 2010-11. The annual CEM Benchmarking survey also found that CalPERS is a (...)

May 2017

News Bloomberg Launches New RMB Bond Suite For Global Investors

RMB Bond Suite features the industry’s most advanced fixed income investment tools for China’s interbank bond market

May 2017

News QNB Suisse SA appoints Societe Generale Securities Services in Ireland for its pioneer UCITS-compliant umbrella fund

QNB Suisse SA, a subsidiary of Qatar National Bank, has selected Societe Generale Securities Services (SGSS) in Ireland to help establish and support QNB Global Funds ICAV, its European UCITS-compliant umbrella (...)

May 2017

News Euronext modernises its markets to support growth of european companies

Euronext today announced several innovating measures to facilitate market access for mid-caps. The new measures will take effect on 19 June 2017, and confirm Euronext’s role as a financing partner for European businesses at each step of their (...)

May 2017

News European ETF Market Trends - April 2017 in brief

European ETF market flows slowed down substantially in April 2017. Net New Assets (NNA) during the month amounted to EUR4.4bn, the lowest since December 2016. Total Assets under Management are up 11% vs. the end of 2016, reaching EUR572bn, including a positive market impact (...)

May 2017

News New strategy to transform Generali’s asset management business for long-term value creation

Asset management unit to broaden investment capabilities and enlarge product offering to reach €500bn of assets under management by 2020. New target of €300million per annum for the net result of the asset management unit by 2020 adding €150million to the Group’s net profit. (...)

May 2017

News ETFGI reports assets invested in ETFs/ETPs listed globally break through the 4 trillion US dollar milestone at the end of April 2017

The Global ETF/ETP industry had 6,835 ETFs/ETPs, with 12,892 listings, assets of US$4.002 trillion, from 313 providers listed on 68 exchanges in 56 countries at the end of April 2017, according to preliminary data from ETFGI’s April 2017 (...)

May 2017

News CalPERS Urges Investors to Vote for Climate Change Reporting at Occidental Petroleum

The California Public Employees’ Retirement System (CalPERS) is calling fellow shareowners of Occidental Petroleum, the international oil and gas company, to vote in favor of a proxy ballot resolution requiring the company to report on environmental risks and opportunities (...)

May 2017

News Exit Frexit: Special Situations and CTAs take the Podium

All strategies were up last week. Hedge funds captured the upside which was a function of the protections implemented ahead of the French vote. Special Situations outperformed, as their cyclical and turnaround positions surged. CTAs’ strong long equity exposure offset losses (...)

... | < 24 | 25 | 26 | 27 | 28 | 29 | 30 | 31 | 32 |> |...

Latest articles

Popular articles

Logo

News Julius Baer to acquire Merrill Lynch’s International Wealth Management business outside the United States from Bank of America

BofAML will provide certain products and services to Julius Baer, including the provision of global equity research, product offerings, as well as structured and advisory products. In addition there will be cross-referral of clients between both (...)

Logo

News BlackRock Agrees to Acquire Global Infrastructure Partners (“GIP”), Creating a World Leading Infrastructure Private Markets Investment Platform

GIP is the world’s largest independent infrastructure manager with over $100 billion in AUM and a strong reputation for driving operational improvements in its portfolio companies & proprietary origination

Logo

News Agence France Trésor announced the successful launch of the first French sovereign green bond

Today, Agence France Trésor announced the successful launch of the first French sovereign green bond with a maturity of 22 years. The Green OAT 1.75% 25 June 2039 issuance amount was €7bn, making it the largest and longest-dated green bond ever (...)

Logo

News Swiss Re Corporate Solutions joins forces with Seguros Confianza, Colombia’s leading specialty insurer, and acquires a majority stake

Swiss Re Corporate Solutions and owners of Compañía Aseguradora de Fianzas S.A. Confianza ("Confianza") have signed an agreement under which Corporate Solutions will acquire a 51% stake in Confianza. This arrangement will provide Colombian corporate clients local access to (...)

Logo

News The market for catastrophe bonds (« Cat bonds ») remains dynamic!

Over the 12 months, the market for Cat bonds - bonds issued by securitization structure to refinance insurance risks related to natural disaster - remains dynamic, both in terms of volume and performance...

Logo

News Follow The Flow: Reflation (flows) is here

According to BofA Merrill Lynch Global Research, Inflows continued across IG short-dated and HY funds in Europe. Investors are adding yield shifting away from duration risk. Last week’s flows >>> HG: +$920mn / HY: +$287mn / Equities: (...)

Logo

News Schroders Greencoat builds on renewable energy demand with launch of semi-liquid energy transition fund

Schroders Greencoat, the specialist renewables and energy transition infrastructure manager of Schroders Capital, today announces the launch of the Schroders Capital Semi-Liquid Energy Transition Fund, the latest addition to its innovative fund range which also addresses (...)

Logo

News Société du Grand Paris successfully launched its fifth and sixth Green bond issuances

On Wednesday 07th October 2020, Société du Grand Paris successfully launched its fifth and sixth Green bond issuances under its Green EMTN programme, for a total amount of EUR 6bn split over two distinct tenors: EUR 3bn at 10-year (0% coupon) and EUR 3bn at 40-year (0.7% (...)

Logo

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.

Logo

News BNP Paribas Investment Partners granted one of the first RQFII licenses in France and the Eurozone

BNP Paribas Investment Partners granted one of the first RQFII licenses in France and the Eurozone: Providing its clients with the latest investment avenues to China’s Onshore Markets

Logo

News German Constitutional court, Constructive on risk in troubled markets, the slow Asian rebound

On Tuesday the German constitutional court decided that the Bundesbank would stop participating in the ECB Quantitative Easing program known as PSPP in three months unless corrective measures were taken. These include oversight by the German parliament and government and (...)

Logo

News Astorg inaugural Mid-Cap fund closes at its €1.3bn hard cap

Astorg is pleased to announce the closing of its first dedicated mid-cap fund (“Astorg Mid-Cap”) at €1.3bn. Due to strong investor demand, the fund has exceeded its initial target of €1bn and hit its hard cap.

Logo

News ESG gold miners ETF continues to lower its ESG risk score following latest rebalance

HANetf, Europe’s first independent white-label ETF and ETC platform, and leading provider of thematic ETFs, and crypto and commodity ETCs, is pleased to announce that the AuAg ESG Gold Mining UCITS ETF (ESGO) has continued to reduce its Sustainalytics average ESG Risk Score (...)

Logo

News Strives Asset Management Launches Strive 500 ETF, Tracking Solactive GBS United States 500 Index

With the increasing likelihood of a recession on the horizon as inflation rises, investors might want to turn into diversifying their portfolios with options that traditionally are less susceptible to downturns or usually recover from bear markets and (...)

Logo

News Tabula sees strong inflows into its Asia High Yield Bond ETF as investors look to take advantage of market opportunity

European asset manager and ETF provider Tabula Investment Management Limited has seen over US$125 million of net inflows into its Asia ex-Japan High Yield Corporate USD Bond ESG UCITS ETF in 2022, as investors look to take advantage of attractive yields and a growing (...)

Focus

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 (...)

Focus

European crisis

A compilation of articles related to european countries’ financial crisis

Advanced search

© Next Finance 2006 - 2025 - All rights reserved