Gallery
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Interview
Interview ,
December 2017
Régis Pinguet : “The two criteria used to select ETFs are its assets under management and on the other hand its replication methodology.”
Régis Pinguet, head of the fund selection and analysis department at CNP Assurances, tells us more about its use of ETFs
Interview ,
December 2017
Christophe Cattoir : “For our equity fund - weighing 10% of our assets - the trackers represent approximately 25% of our allocation”
Christophe Cattoir, head of asset management at M comme Mutuelle chooses firstly trackers with high quality of index replication. Secondly, he makes sure to choose top ETF providers because these products carry a counterparty (...)
Interview ,
December 2017
Pieter Entius : « Eurex Market-on-Close (MOC) delivers a listed solution for basis trading »
Higher efficiency and less risk - Eurex Market-on-Close Futures are designed to deliver multiple benefits to a market that has so far been dominated by OTC trading. Pieter Entius, Head of Trading at Flow Traders, shares his insights what are the key drivers and benefits from (...)
Interview ,
November 2017
Estelle Ménard : "The cycle of mergers and acquisitions is far from over"
Estelle Ménard, Deputy Head of Thematic Equities Management and Fund Manager of the fund CPR Invest–Europe Special Situations at CPR AM believes that an environment of long-term moderate growth is a strong driver for boosting both economic and financial restructuring (...)
Interview ,
October 2017
Philippe Goubeault : « More than twenty percent of our total reserves are managed through a process based on non-financial criteria »
According to Philippe Goubeault, CFO of Agirc-Arrco, Responsible finance has become an essential part of its investment policy. As a result, all their request for proposals now include an SRI part.
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Opinion
Opinion,
April 2019
The Australian housing bubble is close to popping
Tighter lending standards in Australia placed huge pressure on the housing market in 2018 and the country now faces its worst property downturn for 35 years. Ariel Bezalel, Head of Strategy, Fixed Income, explains why the dynamics behind the housing slump are key to his (...)
Opinion,
March 2019
Brexit’s impact for equity investors
For someone living, moving to or doing business with the United Kingdom in the last year, the “Brexit Question” has been an important consideration. During the beginning of 2019 there have been several dates, votes and occasions when we expected to get a detailed picture of (...)
Opinion,
March 2019
Sterling and Equities unmoved by Brexit extension vote
Following the vote to extend the Brexit process the British pound has not shown significant movement around equity market opening time, currently trading at above 1.32 vs the USD.
Opinion,
March 2019
ECB’s decision is likely to extend the period of suffering for European banks
Since the financial crisis, the unwritten rule has been that bad economic news was good news for investors, as central-bank taps likely would be opened. And if a central bank talked more dovishly than expected in a meeting, the markets were quick to react and (...)
Opinion,
March 2019
The ECB is rushing.. at slow speed
Although they will only have 2-year maturities, the LTROs were already announced, so early that details are not even finalized yet. It was visibly considered necessary to send a strong message now.
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