Interview 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 (...)
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Interview Yves Chevalier: "The FRR aims to decarbonise the majority of its equity indices portfolios"
According to Yves Chevalier, Executive Board member of the "Fonds de Reserve pour les Retraites - FRR", the fund aims to decarbonise almost all of its equity index portfolios. Currently, its outstanding assets involved in decarbonization are estimated at about 1.1 billion (...)
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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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Interview Malik Haddouk : « In fixed income we are focusing in the short term on exposure to long maturities »
In fixed income, Malik Haddouk, Head of Balanced Management at CPR Asset Management and his team are focusing in the short term on exposure to long maturities (> 10 years), which are likely to get a boost from quantitative easing and weak (...)
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Interview Charlotte Alliot: « Index and Futures Euronext ESG 80 allow investors to invest in the 80 best performing ESG and best energy transition score listed companies in the euro zone »
According to Charlotte Alliot, Head of Institutional Derivatives, Euronext, the index ESG 80 improves the overall ESG score by 16.1% and the energy transition score by 26.2% compared to its benchmark…
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Interview Aymeric Poizot : « The best multi-asset funds managers are often those who developed a fundamental allocation in the bond market or used quantitative models as tools for decision support»
According to Aymeric Poizot, Head of EMEA Fund & Asset Manager Rating Group at Fitch, multi-asset funds remain relevant in the current context, whether for an institutional investor or a private investor…
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Interview Bruno Dupire: «The problem of finance is not to compute......»
A pioneer of local volatility models and leader of quantitative research at Société Générale then Paribas, Bruno Dupire, gives us his vision of markets and responds to criticism of the local volatility...
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Interview Cyril Regnat: « Several institutional investors continue to buy French Treasury Bills»
French bonds Bubble, management strategy of the French Treasury Agency, inflation risk for long-term bondholders, Cyril Regnat, interest rate strategist at Natixis answers to Next Finance questions ...
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Interview Elie Ayache : « The trading of derivatives products has nothing to do with the probability distributions»
He was among the first volatility traders in the matif ! ITO33 Founder and former head of research at Dexia AM, Elie Ayache gives us his thoughts on the derivatives markets he defines as the technology...
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Interview Michèle Lacroix : “SCOR has strengthened its teams to invest more heavily in bank loans”
According to Michèle Lacroix, Head of Group Investment Office at SCOR, for several years, equity exposure has been strongly reduced in the group investment portfolio in contrast to its bank loan exposure...
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Interview Bruno Servant & François Garreau : « Climate change and its consequences is a major challenge for the insurance industry and its business model »
According to Bruno Servant, CIO, Generali France and François Garreau, in charge of CSR, Generali France, as institutional investors, insurance companies have to take long term positions to manage risks in coherence with the long term horizon of its (...)
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Interview Agnès Lossi : "We expect a lot of progress in terms of dynamic balance sheet management and capital steering including their volatility, which is probably the major challenge for institutions."
According to Agnès Lossi, Partner and Director at Indefi, market risk contribution to capital requirements is high. It represents almost 50 % of the capital needs.
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Interview Jean-Philippe Médecin : “Solvency II did not lead to a significant decline in our equity exposures”
Jean-Philippe Médecin, funding and asset-liability management director within the CNP Assurances investment department and its team are increasingly integrating hedges to limit the effects of market drawdowns…
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Interview Philippe Mills : « This year, half of the net buyers of French debt come from Asia and the Middle East »
What is the role of the French Treasury Agency (AFT)? Who holds the French debt? How are OAT and BTF issues conducted? Philip Mills, CEO of the French Treasury Agency answers Next Finance questions...
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Interview Bertrand Alfandari : “After launching the first ever ETF on the “low carbon” theme in 2008, we continued to expand our range by developing other ESG themes”
According to Bertrand Alfandari, Head of business development ETFs & INDEX FUNDS at BNP Paribas Asset Management, net inflows were very strong in Europe for ESG ETFs during the first nine months of 2020.
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