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,
June 2022
Descending From Extremes Is a Rocky Process
To understand the current volatility, it helps to get reacquainted with just how out of whack things were coming into 2022—in terms of both magnitude and timing.
Opinion,
May 2022
Staying On Theme
When inflation, interest rates and global economic uncertainty are rising, cash today can seem more urgent than exposure to the markets of tomorrow—but could that mean investors risk missing out on the potential of thematic (...)
Opinion,
February 2022
Russia-Ukraine conflict threatens energy supply as hawkish central banks could pivot
Russia has invaded Ukraine pushing commodity prices to new record highs as equities tumble in a risk-off move by markets. While disruptions to oil and gas supply are looming, markets are anticipating a softening of major central bank (...)
Opinion,
February 2022
Ukraine latest: more volatility ahead
While markets have moved – unsurprisingly – into risk-off territory following the latest news from Ukraine, the reaction has remained disciplined so far. But investors can expect more volatility as the political and military situation evolves and potentially (...)
Opinion,
February 2022
5 Minutes to know your way around #3 - Débrief of the FOMC, January 2022
The FOMC of January 26, 2022 was eagerly awaited. The minutes of the previous committee, had shown that a balance sheet reduction was seriously considered, which had triggered a major correction in the equity markets. Analysis by CPR AM (...)
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