Product
All the news about products
Innovation
Innovation,
February 2014
Bank of America Merrill Lynch and Koris International Launch Merrill Lynch Dynamic Capital Protection UCITS Fund
This latest sub-fund on the MLIS UCITS platform, provides institutional investors with a capital-protected solution that uses core-satellite investment principles within a risk control framework to generate risk (...)
Innovation,
October 2013
Natixis Asset Management launches Natixis Global Risk Parity, a global allocation fund with a balanced risk approach
Unlike a traditional risk parity allocation investing in a single asset class, Natixis Global Risk Parity can invest in a very broad investment universe.
Innovation,
October 2013
AfDB launches 3-year USD 500 million Inaugural Green Bond
The transaction was placed with 36 investors including the Third Swedish National Pension Fund, AP4, BlackRock, CalSTRs, Calvert Investment Management, Inc, Nordea Investment Management, Pictet Asset Management, Praxis Intermediate Income Fund, State Street Global Advisors (...)
Pedagogy,
April 2013
iSTOXX™ Europe Minimum Variance
The approach initiated by Ossiam’s research and management team intends to obtain an optimized portfolio that includes a selection of stocks where volatility is among the lowest in the investment universe
Pedagogy,
April 2013
BNP Paribas L1 Equity World Low Volatility
The Fund BNP Paribas L1 Equity World Low Volatility seeks to outperform the MSCI World Index over a full market cycle with risk reduction objective and limiting tracking error risk level. Absolute volatility is targeted to be lower than the MSCI World (...)
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Performances
News,
February 2017
La Caisse posts a 10.2% five-year annualized return
Caisse de dépôt et placement du Québec today released its financial results for the year ended December 31, 2016. The annualized weighted average return on its clients’ funds reached 10.2% over five years and 7.6% in (...)
News,
February 2017
Risk Assets on the Rise and Supportive Alpha: a Nice Cocktail for Hedge Funds
Markets have gone back and forth while assessing the prospects for Trump’s economic plans and the timing of U.S. rate hikes. Last week, risk assets in DM and EM progressed, stirred by supportive data and Trump’s plans to unveil a “phenomenal” tax policy. Most hedge funds headed (...)
News,
February 2017
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: (...)
News,
February 2017
Value Stocks Lose Steam But Active Managers Stay Afloat
Value stocks have lost steam in early 2017 as market exuberance faded and investors reappraised the risks of trade wars. The renewed underperformance of value stocks has taken many investors by surprise as it follows a sharp rebound in the last quarter of (...)
News,
February 2017
Fixed Income Arbitrage Thrives As Bond Yields Rise
Bond yields continued to edge higher over the recent weeks on the back of stronger economic data and higher inflationary pressures. The rise in bond yields was more pronounced in Europe than in the U.S. across the curve, which contributed to the appreciation of the Euro vs. (...)
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