Gallery
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Interview
Interview ,
October 2016
Salwa Boussoukaya-Nasr : « We look at all the existing strategies that are based on risk metrics, factor-based or fundamental values approaches. »
According to Salwa Boussoukaya-Nasr, CFO of FRR (« Fonds de Réserve pour les Retraites ») the French reserve fund, developments are necessary for more transparency for the turnover costs generated by the implementation of Smart Beta (...)
Interview ,
October 2016
Michel Manteau : « We have mainly chosen minimum variance strategies because we seek to reduce the volatility of our equity portfolio »
Michel Manteau, head of portfolio management at CARMF (« Caisse Autonome de Retraite des Médecins de France »), the retirement institution for french doctors tells us more about Smart Beta strategies.
Interview ,
October 2016
George Szemere : "Our investment process leads us to include 25-40 different risk premia in the portfolio"
According to George Szemere, Head of Global Strategic Relations & Liquid Alternatives, Columbia Threadneedle, there is a growing understanding that extracting returns from a traditional asset-allocation mix is going to be (...)
Interview ,
September 2016
Antoine Prudent : « InPact Advisory is currently conducting a mission for 5 large Swiss institutional investors willing to invest in an Alternative Risk Premia strategy »
According to Antoine Prudent, founding partner of InPact Advisory, the advantage of Risk Premia products is also to reduce costs compared to the usual pricing for alternative products…
Interview ,
July 2016
Philippe Desfosses : "Since inception, the board of ERAFP has decided to put in place a 100% ISR investment policy"
"This is why we are also very committed against global warming" said Philippe Desfossés, director at ERAFP.
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Opinion
Note,
February 2019
Stock market shows greater reaction to forecasts by analysts with favourable surnames
Financial analysts whose surnames are perceived as favourable elicit stronger market reactions to their earnings forecasts, new research from Cass Business School has found.
Opinion,
February 2019
Responsible investment has become increasingly important for many asset owners, so what does 2019 hold?
Cloud computing, machine learning and the potential of the, as yet, relatively untapped field of data science have been rapidly rising up the agenda of the investment world. In an industry that is undergoing seismic changes, the capabilities, reach and efficiencies that data (...)
Opinion,
February 2019
Lessons from a decade of bank bailouts
A decade on, banks in some major economies have largely recovered from the global financial crisis (GFC). In others, however, legacies of bad assets continue to clog the banking system, stalling the engine of economic growth. The reasons for this divergence lie largely in (...)
Opinion,
February 2019
Why the Fed will stop reducing its balance sheet in 2019
At last night’s FOMC, Jerome Powell explained that "the normalization of the size of the balance sheet would be completed sooner" and that the Fed would now "evaluate the appropriate timing for the end of balance sheet reduction”. We briefly explain why (...)
Opinion,
February 2019
MSCI: Five Key ESG Trends to Watch in 2019
MSCI ESG Research has issued its 2019 ESG Trends to Watch Report, which identifies five key ESG trends in 2019 and the potentially overlooked costs and opportunities underlying these themes...
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