Research
					All research papers related to asset management
				 
		    
		    
				
		    
		    
		    
				
		    
		    	
		    	
		    	
			    
			    		
			    		
			    		
			    	
						
						
						  
							
		
		
				
					
						
	
		
		
		
		
		
		
		
		
		
		
		
		
		
		
		
		
	
		
			Quant Note
			
				
				
					
						
		      	
							
								News, 
								  January 2014
					 				
							 
							Launch of a Research Program in Behavioral Finance 
							Under the CIFRE plan (industrial contracts for training through research), Koris International launches a research program in Behavioral Finance through a PhD entitled "Behavioral Finance Approach for Risk Assessment in Quantitative Portfolio Management”, conducted by the PhD (...) 
							
						 
					 
				
					
						
		      	
							
								News, 
								  December 2013
					 				
							 
							CTAs on a strong recovery mode in november 
							10 out of 13 Lyxor Indices ended the month of November in positive territory, led by the CTA Long Term Index (+4.2%), the L/S Equity Market Neutral Index (+1.7%) and the CTA Short Term Index (+1.6%). The Lyxor Hedge Fund Index posted a positive performance close to 1% in (...) 
							
						 
					 
				
					
						
		      	
							
								Strategy, 
								  April 2013
					 				
							 
							Risk factors: taking risk budgeting one step further 
							An increasing number of pension funds are opting to invest in ‘alternative’ or ‘smart beta’ indices to supplement their passive management activities. Several competing methods currently exist, each with their own objectives. Analysing the risk contribution of each factor by (...) 
							
						 
					 
				
					
						
		      	
							
								Strategy, 
								  December 2012
					 				
							 
							An example of Quantitative Strategy: The Low Volatility approach 
							Low volatility indices and, more broadly, products based on quantitative strategies aiming to select only low-volatility stocks, have met with growing success with the financial community and investors. However, most of these indices have major drawbacks that cannot always (...) 
							
						 
					 
				
					
						
		      	
							
								Note, 
								  January 2012
					 				
							 
							Assessment of the true risks of Exchange-Traded Funds (ETFs) 
							According to EDHEC-Risk Institute, any discussion of the risks inherent in ETFs should go beyond merely hypothesising about potential risks, and should also take into account the empirical evidence provided by the existing academic research on (...) 
							
						 
					 
				
				 
			 
		 
	
	
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								Note, 
								  October 2018
					 				
							 
							BofA Merrill Lynch October Fund Manager Survey finds investors most bearish on global growth since 2007 
							Average cash balance holds steady at 5.1%, well above the 10-year average of 4.5%, as investors stay bearish. A record 85% of survey respondents think the global economy is in the late cycle, 11ppt above prior highs in Dec. (...) 
							
						 
					 
				
					
						
		      	
							
								News, 
								  September 2018
					 				
							 
							ETFGI reports assets invested in ETFs and ETPs listed in the US reached a new high of $3.71 trillion at the end of August 2018 
							ETFGI reported that ETFs and ETPs listed in the US reached a new high of US$3.71 Tn in assets, following net inflows of US$24.71 Bn in August, according to ETFGI’s August 2018 US ETF and ETP industry landscape insights (...) 
							
						 
					 
				
					
						
		      	
							
								News, 
								  August 2018
					 				
							 
							ETFGI reports that Active ETFs and ETPs listed globally reach a new high of US$95.9 billion at the end of July 2018 
							ETFGI, a leading independent research and consultancy firm on trends in the global ETF/ETP ecosystem, reported today that assets invested in Active ETFs and ETPs listed globally reached a new high of US$95.9 billion, following net inflows of US$3.59 billion and market moves (...) 
							
						 
					 
				
					
						
		      	
							
								News, 
								  July 2018
					 				
							 
							ETFGI reports 44th consecutive month of net inflows into ETFs and ETPs listed in Europe with US$2.89 billion in net new assets during May 2018 
							ETFGI, a leading independent research and consultancy firm on trends in the global ETF/ETP ecosystem, reported net inflows of US$2.89 billion into ETFs and ETPs listed in Europe during May 2018, marking the 44th consecutive month of net inflows into European-listed (...) 
							
						 
					 
				
					
						
		      	
							
								Note, 
								  July 2018
					 				
							 
							Versatility of ETFs driving usage among European Institutions 
							Facing a set of fast-changing global market conditions, European institutional investors are utilizing the versatility of exchange-traded funds (ETFs) to adjust their portfolios, and integrating ETFs more deeply into both tactical and strategic investment processes and (...) 
							
						 
					 
				
				
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