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December 2022

Strategy Focus on quality for success in equities

Investors should not expect everything to go ‘back to normal’ in 2023, says Melda Mergen, Global Head of Equities, Columbia Threadneedle Investments. Higher inflation and a weaker economic environment will mean not all companies will (...)

December 2022

News Net flows from European wealth managers will decline slightly in 2023

European wealth managers’ net inflows are likely to decline in 2023 as inflation squeezes disposable income, Fitch Ratings says. However, the fall should be modest as most clients have fairly high disposable income, which will not be significantly eroded by higher living (...)

May 2022

Opinion 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 (...)

April 2022

Interview Simon Thorp : « In the Aperture Credit Opportunities fund, we use fundamental analysis as well as quantitative tools »

According to Simon Thorp, Fund Manager of the Aperture Investors SICAV - Credit Opportunities Fund (ACOF), a more inflationary environment has a direct impact on the valuation of its long positions. In such a context, he aims to reduce the duration of our (...)

February 2022

Opinion 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 (...)

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