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Alternative Investment

Highlights

January 15

News Schroders launches first luxembourg ELTIF 2.0 fund in France

The asset management company, Schroder Investment Management (Europe) S.A. launched “Schroders Capital – Private Equity ELTIF 2023”, its first Luxembourg ELTIF 2.0 Private Equity fund distributed in France and internationally.

Innovation

Amundi and Sand Grove Capital launch event driven UCITS fund

Strategy

The index revolution (finally) comes to hedge funds

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September 2015

Strategy Long or short, Andreas Schmidt?

The Global Head of Primary Private Equity at Deutsche Asset & Wealth Management discusses opportunities and risks in co-investments...

September 2015

News Event Driven knocked with few heavy-weight funds

The Lyxor Hedge Fund Index was down -2.7% in August. 1 out of 12 Lyxor Indices ended the month in positive territory. The Lyxor Convertible Arbitrage Index (+3.3%), the Lyxor L/S Equity Variable Bias Index (-0.7%), and the Lyxor L/S Equity Market Neutral Index (-1.1%) were (...)

September 2015

Opinion A critical change of paradigm for hedge funds

At the turn of the month, hedge funds rebounded as market conditions improved. The Lyxor Hedge Fund Index was up 0.4% last week, following a 3.3% drawdown in August. Year to date, hedge funds have demonstrated their ability to protect portfolios, returning - 0.3% whilst the (...)

September 2015

Opinion High dispersion of hedge funds’ returns in panic markets

The deflation and growth scares morphed into a vicious cycle last week. Multiple trading anomalies were observed, especially on Monday, suggesting that systematic and algorithmic trading amplified the sell-off.

August 2015

News Receding systemic risks, but cautious risk appetite

The Lyxor Hedge Fund Index was up +1.3% in July. 8 out of 12 Lyxor Indices ended the month in positive territory, led by the Lyxor CTA Long Term Index (+4.6%), the Lyxor Global Macro Index (+2.6%), and the Lyxor Variable Bias Index (...)

August 2015

Innovation LOIM launches ILS offering and hires CAT bond team.

Dr Gregor Gawron to head Insurance Linked Strategies Offering meets the need for low correlated building blocks for diversified portfolios.

July 2015

News AfDB takes leading role in raising funds for AFIG Fund-II, A Multinational Private Equity Fund

The Board of Directors of the African Development Bank (AfDB) approved on Wednesday, July 8, 2015 an equity investment of up to USD 45 million in Atlantic Coast Regional Fund LLC II (or “AFIG Fund II”), a 10-year USD 300 million multi-sector private equity fund that focuses on (...)

July 2015

News CalPERS to Report Private Equity Carried Interest

The California Public Employees’ Retirement System (CalPERS) today announced that it will report the total carried interest paid to the General Partners (GP) of the private equity investment funds it invests for the fiscal year ending June 30, (...)

July 2015

News CalPERS to Sell Portion of Real Estate Portfolio

The California Public Employees’ Retirement System (CalPERS) today announced that it is planning to sell up to $3 billion of its real estate investment portfolio. Park Hill Group has been selected to assist CalPERS with the (...)

June 2015

News CalPERS to Sell Ownership Stake in Real Estate Manager Bentall Kennedy Deal to provide compelling return for pension system

The California Public Employees’ Retirement System (CalPERS) today announced that it has agreed to sell its one-third ownership stake in North American real estate manager Bentall Kennedy.

March 2015

News CalPERS Commits $75 Million to Emerging Manager Program Firm Siris Partners

The California Public Employees’ Retirement System (CalPERS) today announced that it has committed $75 million to private equity firm Siris Partners. This is the first direct commitment to Siris, who has previously received commitments from CalPERS through the System’s (...)

March 2015

News Sucessfully riding the thematic reversal

The Lyxor Hedge Fund Index was up +1.7% in February. 10 out of 12 Lyxor Indices ended the month in positive territory, led by the Lyxor Special Situation Index (+5.3%), the Lyxor CTA Short Term Index (+3.5%), the Lyxor Convertible Bond Arbitrage Index (...)

February 2015

News Lyxor announces new partnership with Quantmetrics for its AIFM managed account platform

Lyxor Asset Management (“Lyxor”) announces a new partnership with Quantmetrics Capital Management (“Quantmetrics”) to join Lyxor’s AIFM managed account platform. With this partnership, Lyxor will launch its first AIFMD-compliant strategy on the (...)

January 2015

Note 2014 Sees Alternative Assets Industry Near $7tn in Value

Preqin launches its 2015 Global Alternatives Reports, which reveal significant growth in assets held by private equity, hedge fund, private debt, real estate and infrastructure fund managers. Total industry assets now stand at $6.91tn, up from $6.22tn as of this point last (...)

January 2015

Note Hedge Funds Deliver Worst Annual Performance Since 2011

The Preqin All-Strategies Hedge Fund benchmark gained just 3.78% in 2014, the lowest annual return since the 1.85% loss seen in 2011

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Note Are markets becoming more unstable?

Readers of financial news may believe that ‘market corrections’, or ‘shocks’, or ‘five-sigma events’ are more common than they used to be. Winton Capital Management look at the historical data for a number of financial markets and find that there is no evidence for increasing (...)

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Regulation Regulatory prospects: 2012 and beyond

2009 was a year of intense reflection on the functioning of the financial sector. There followed an intense regulatory activity in 2010, unfortunately with few formal adoptions of regulations. 2011 marked the surge of the will to succeed with provisional schedules. Where do (...)

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Interview Xavier Morin: "In 2021, we are seeing a real resurgence of interest in our strategies that are weakly correlated to the equity market"

According to Xavier Morin, co-CIO and in charge of the Event Driven Equity division at Syquant Capital, dividend arbitrage is deployed in the 4 Helium equity funds. The aim of this strategy is to capture discounts on Future Dividendes SX5E while limiting market (...)

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People Moves Jim Simons, the « Michael Jordan » of finance retires

Jim Simons has officially announced his retirement, leaving the reins of "Medallion Fund" - without doubt one of the greatest performing management funds in history - in the hands of his two co-successors, Peter Brown and Robert (...)

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Strategy Alternative risk premia weathering Brexit storm well

Pierre-Yves Moix, co-manager of the Alternative Risk Premia strategy at GAM, comments on how the growing alternative risk premia industry has delivered strong performance in the uncertain Brexit environment – proving once again its strong diversification and market neutral (...)

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Stories Capital Fund Management: Simply the best?

Discus Fund, one of CFM flagship funds, posted 23 percent year-to-date positive returns as of october end, the best performance amongst all the global systematic funds. This is the confirmation the know-how of the French manager which has shown exceptional trackrecords for (...)

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News Institutional investor appetite is back for quant funds

The recent CTA performances encourage institutional investors to more closely monitor this type of hedge fund. Thus, according to Preqin, 52% of them wish to increase their exposure to this type of alternative strategy this year (vs 14% last (...)

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Innovation Solactive launches European Quality Market Neutral Index

Solactive is announcing the launch of the Solactive European Quality Market Neutral Index licensed to Natixis. The index is to be used as an underlying for structured products issued by Natixis.

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Strategy CTAs Rally despite dreadful momentum in Equity Markets

With investors questioning the sustainability of equity valuations in a context of rising bonds yields, a Momentum reversal in equities is taking shape. Defensive sectors, and more recently Technology stocks, faced downward pressures while Financials and Energy (...)

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Strategy Management of hedge fund portfolios during crisis periods: the contribution of systematic overlays

The implementation of systematic overlays can be considered as an alternative to short-term rebalancing of hedge fund portfolios, or as an active component of alternative allocations.

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Opinion Bond Pain trade for global macro

Gyrations in U.S. rates were highly challenging to navigate. Bond volatility surged in October as the Fed prepared to withdraw monetary accommodation and as investors struggled to assess the medium-term path of (...)

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Note Investors Increase Pressure on Hedge Funds to Lower Fees

The latest research from Preqin on hedge fund fees finds that lower recent performance, high-profile redemptions and increased concern from investors on the issue of fees have influenced many hedge fund managers to bring their management and performance charges below the 2 (...)

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Strategy Mega Mergers to keep fueling Risk Arbitrage

With risk assets back to record highs, markets are currently looking for the next catalyst that would push equities higher. But with the Fed potentially signaling a looming reduction in asset purchases at the next FOMC meeting on June 16, it seems wise to remove some risk (...)

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Innovation EXQIM announces the launch of Exqim Blue Fund

Created by two former senior executive managers of SGAM AI, Exqim launches Exqim Blue Fund, a multi-asset fund whose investment process is based on quantitative strategies and allocation.

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Pedagogy What is Long/Short Equity ?

Hedge funds apply a vast array of investment strategies which can be more or less complex. In this article, we shall focus on the Long / Short strategy…

Focus

Interview Baptiste Buisson : « We consider increasing the size of this type of investment (Absolute Performance UCITS) in the coming quarters »

According to Baptiste Buisson, Deputy Director at Aviva France, Investing in this type of support like Alternative Risk Premia allows players like Aviva France to diversify our investments.

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