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			Innovation
			
				
				
					
						
		      	
							
								Innovation, 
								  March 2022
					 				
							 
							CI Global Asset Management Launches Two ETFs Tracking Solactive Innovation Indices: CI Bio-Revolution ETF and CI Digital Security ETF 
							CI Global Asset Management (“CI GAM”) releases two thematic ETFs tracking Solactive’s innovation indices, expanding its engagement with the German index provider. 
							
						 
					 
				
					
						
		      	
							
								News, 
								  March 2022
					 				
							 
							Solactive Launches PAB High-Yield (Y) Indices and Enlarges Paris-Aligned Index Family 
							Investors have been increasingly considering aligning investment decisions with ESG values. In 2021, this focus increased as the entire world watched heads of states’ debates on effective actions against climate change at the UN Climate Change Conference (COP26) in Glasgow, (...) 
							
						 
					 
				
					
						
		      	
							
								News, 
								  February 2022
					 				
							 
							BMO Asset Management Inc. offers access to yield-enhancing segments of the bank funding market with its new BMO Canadian Bank Income Index ETF (ZBI) 
							BMO Asset Management Inc. offers investors convenient access to a portfolio of unique high yielding fixed income securities through the BMO Canadian Bank Income Index ETF (ZBI). This ETF seeks to replicate the performance of the Solactive Canada Bank Income (...) 
							
						 
					 
				
					
						
		      	
							
								Innovation, 
								  October 2021
					 				
							 
							Global X Japan Expands Innovative Thematic Offering Again with Releases of Japan Leisure and Entertainment ETF 
							The Japanese entertainment industry stands for culturally rich and diverse productions, which customers enjoy around the globe. While foreign markets are undoubtedly essential for Japanese producers, its domestic region is still the principal market for these leisure and (...) 
							
						 
					 
				
					
						
		      	
							
								Innovation, 
								  September 2021
					 				
							 
							Amundi launches private debt impact fund with investment commitments of €650 million 
							Amundi, the leading European asset manager, has launched the fourth vintage of its core private debt strategy, Amundi Senior Impact Debt IV. This fund is dedicated to financing mid-caps in France and Europe with proven pre-Covid-19 performance and resilience and has already (...) 
							
						 
					 
				
				
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			Performances
			
				
				
					
						
		      	
							
								News, 
								  December 2018
					 				
							 
							ETFGI reports assets invested in ETFs and ETPs listed globally rise above 5 trillion US dollars at the end of November 2018 
							ETFGI, a leading independent research and consultancy firm covering trends in the global ETF/ETP ecosystem, reported today that ETFs and ETPs listed globally gathered net inflows of US$60.55 Bn during November. 
							
						 
					 
				
					
						
		      	
							
								News, 
								  December 2018
					 				
							 
							Market Neutral L/S struggles as momentum stocks take a hit 
							Risk assets failed to reach a bottom early December despite the U.S and China agreeing to negotiate on trade at the G20 summit. The near-term outlook remains unclear from political uncertainties, which prevent investors from adding risk in portfolios despite lower equity (...) 
							
						 
					 
				
					
						
		      	
							
								News, 
								  November 2018
					 				
							 
							Muzinich & Co. and Springrowth SGR announce first close of Diversified Enterprises Credit Fund 
							Springrowth SGR, a wholly-owned subsidiary of Muzinich & Co Ltd., has announced the first close of the Diversified Enterprises Credit Fund (“DECF”), the first parallel lending vehicle to be launched in Italy. 
							
						 
					 
				
					
						
		      	
							
								Strategy, 
								  November 2018
					 				
							 
							L/S Equity strategies bear the brunt of the turmoil 
							L/S Equity and Event-Driven strategies underperformed due to their elevated market beta. L/S Equity strategies also suffered due to the rotation in risk factors which saw growth/ momentum stocks underperforming value and low beta (...) 
							
						 
					 
				
					
						
		      	
							
								Opinion, 
								  October 2018
					 				
							 
							Perspectives on L/S Equity strategies after the Selloff 
							Risk assets have yet to find stable ground after the recent turmoil. The rebound in equities since the October 11th trough appears fragile. Last week, the minutes of the latest FOMC meeting were hawkish and Italy’s 10-year sovereign spread with Germany jumped to levels unseen (...) 
							
						 
					 
				
				
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