›  TAG 
A-La-Une

Indicates whether to include an article in home page highlight’s section

Articles

February 2019

Strategy Hybrid call decisions become more nuanced

The re-statement by Santander’s chief executive on the 2018 earnings call on January 30 of the group’s existing policy to call hybrid instruments on economic terms seems to have been accepted calmly.

February 2019

Opinion Low inflation : dry powder?

One way to look at low global inflation is as evidence of policy successes on the part of countries’ central banks — especially in Emerging Market (EM) countries, where inflation rates are often below their central bank (...)

January 2019

News Hedge fund positioning after the storm

The positioning of CTAs and Global Macro strategies on equities remains very cautious at present. Meanwhile, long Fixed Income positions have increased over the past few weeks. The stance has thus turned more defensive, even though the outlook on EM assets has turned more (...)

January 2019

Strategy Finding opportunity in Europe’s volatility

Looking back at 2018, it was a year when European corporate earnings continued to grow, while market volatility was surprisingly high. The volatility was a result of both political noise and the fear of a slowdown in global (...)

January 2019

Interview Guillaume Abel : “SRI is becoming THE relevant fund management”

According to Guillaume Abel, head of business development of La Banque Postale Asset Management (LBPAM), SRI is becoming THE relevant fund management. LBPAM plans to launch a Green Bond fund to come in 2019 and the creation of tailor-made SRI model portfolios to monitor the (...)

© Next Finance 2006 - 2025 - All rights reserved