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
Note,
October 2016
BofA Merrill Lynch October Fund Manager Survey shows global investor risk-aversion growing as cash allocations increase to near-15-year highs
Cash levels jumped from 5.5% in September to 5.8% this month. Investors’ average cash balance was last this high in July 2016 (post-Brexit vote) and in Fall 2001.
News,
October 2016
Macro funds’ patience on Fed and Brexit pays off
Nervousness rose last week as investors continued to prepare for a December Fed hike - increasingly likely - and ahead of the US elections. US rates, the dollar and breakevens progressed, while equities dropped (...)
News,
October 2016
European ETF Market flows slowed down in September 2016
Net New Assets (NNA) during this month amounted to EUR2.0bn, significantly below the year to date average of EUR3.2bn. Total Assets under Management are up 7% vs. the end of 2015, reaching EUR480bn, and including a market impact of (...)
News,
October 2016
Merger Arbitrage Expected to Continue Its Climb in Q4
As the third quarter came to an end, it is time to take some perspective. The summer lull fuelled risk assets after a turbulent first half (MSCI World +4.5% in Q3) and hedge funds benefitted from it. Strategies with higher betas outperformed, such as L/S Equity and (...)
News,
October 2016
Inflows into high-grade funds slow down
According to BofA Merrill Lynch Global Research report, fund flows data reveal that inflows into high-grade funds have slowed down over the past few weeks. Chart 1 indicates that the four-week average trend has decelerated to its lowest point since (...)
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