Gallery
All the news about industry gallery
Interview
Interview ,
May 2016
Caroline Le Meaux Lambert : « We are looking for strategies able to benefit from upward equity trends while limiting volatility »
Caroline Le Meaux Lambert, head of delegated asset management at Caisse des Dépôts for the French public pension fund Ircantec, tells us a little more about the Smart Beta concept.
Interview ,
April 2016
Pierre Richert : « It is important to enhance transparency, performance attribution and especially regulation for quant funds »
Pierre Richert, Agrica CFO – mutual company dedicated to the agriculture sector – still does not invest in quant funds. He considers necessary to enhance transparency, performance attribution and especially regulation for this kind of (...)
Interview ,
April 2016
Donald A. Steinbrugge : « A new CTA fund must have a strong differential advantage to have any chance of competing in the institutional market place. »
Donald A. Steinbrugge, managing partner at Agecroft Partners – US third party marketing firm specialized in hedge funds - gave us information regarding demand from institutional investors for CTAs
Interview ,
July 2015
Olivier Pleasant : "With Ecofi Enjeux Futurs, we want to invest in growth over the next decades"
According to Ecofi Investments "Meeting the actual needs without compromising the ability of future generations to meet their own needs" is the challenge of sustainable development, and the philosophy that we wanted to use when we set up this (...)
Interview ,
March 2015
Malik Haddouk : « In fixed income we are focusing in the short term on exposure to long maturities »
In fixed income, Malik Haddouk, Head of Balanced Management at CPR Asset Management and his team are focusing in the short term on exposure to long maturities (> 10 years), which are likely to get a boost from quantitative easing and weak (...)
|
|
Opinion
Strategy,
February 2016
Bond Markets: a macro-economic cocktail that calls for a selective approach
Investors should adapt to this new reality, just as they are being buffeted by a number of economic crosswinds: a strengthening US dollar with its disruptive impact on emerging economies, the knock-on effect on developed nations, deteriorating US fundamentals sparked by a (...)
Strategy,
February 2016
Joining the dots between climate change and strategic risks
The World Economic Forum’s (WEF) 11th annual Global Risk Report named “failure of climate-change mitigation and adaptation” as the top global risk for 2016 and beyond, making a case for linking this to other high-ranking risks such as “large-scale involuntary migration” and (...)
Opinion,
February 2016
Japanese stocks look oversold
According to Shogo Maeda, Head of Japan Equities, despite the recent volatility, Japanese companies’ prospects continue to look bright.
Opinion,
February 2016
The decline in European financials does not represent a systemic risk
According to Wouter Sturkenboom, Senior Investment Strategist at Russell Investments, the European financial sector has been selling off very hard this year and there are genuine concerns which underpin the declines...
Strategy,
February 2016
Fed, Oil, yuan: towards a triple capitulation?
The first few days of the year were particularly challenging for capital markets. Further incertitude regarding the strength of the US cycle and the possibility that the Chinese economy is weathering a heavy depression drove risky assets lower, bucking the traditional (...)
|
|
© Next Finance 2006 - 2025 - All rights reserved