Research
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			Quant Note
			
				
				
					
						
		      	
							
								Opinion, 
								  March 2011
					 				
							 
							To predict or to adapt? 
							According to Fabrice Foy, Quantitative Analyst at CCR-AM, we should do the exact opposite of the classical theory: the stock price does not reflect fundamentals, and if it deviates from its fundamental value, it does not necessarily tend to revert (...) 
							
						 
					 
				
					
						
		      	
							
								Interview , 
								  March 2010
					 				
							 
							Gideon Ozik «funds with extensive media-coverage tend to underperform» 
							According to a recent research paper released by Gideon Ozik & Ronnie Sadka, US Hedge funds tend to underperform following extensive media coverage 
							
						 
					 
				
					
						
		      	
							
								Opinion, 
								  February 2010
					 				
							 
							The «French Quants» must relearn to code! 
							In France, many financial engineers feel some aversion for IT.  Some, fascinated by models, don’t consider for a second writing thousands of lines of code… 
							
						 
					 
				
					
						
		      	
							
								Note, 
								  November 2009
					 				
							 
							Risk evaluation and multifractal Var 
							The use of  «multifractal processes»  for risk calculation in finance allows us to use the concept of  «scale invariance» and its implications developed in fluid mechanics… 
							
						 
					 
				
					
						
		      	
							
								Reading, 
								  November 2007
					 				
							 
							A fractal view of the markets, Benoit Mandelbrot 
							In an uncompromising book, Benoit Mandelbrot, French graduate from Ecole Polytechnique, denounces the inconsistency of the orthodox theory of finance and presents his fractal vision of the markets 
							
						 
					 
				
				
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								Note, 
								  May 2021
					 				
							 
							New research reveals institutional investors and wealth managers plan to switch to metal investment funds with stronger ESG credentials 
							New research with institutional investors and wealth managers reveals the growing demand for metal investment funds with a strong ESG focus, ensuring the metals are sustainably and ethically sourced. 
							
						 
					 
				
					
						
		      	
							
								Note, 
								  April 2021
					 				
							 
							Issuance in Emerging Market Green Bonds to Reach $100 Billion by 2023, Amundi and IFC Find 
							Despite the impact of COVID-19, emerging market green bond issuance totalled $40 billion in 2020. Underpinned by supportive market fundamentals, emerging market green bond issuance is expected to reach $100 billion by 2023. Since 2012, 43 emerging markets have issued green (...) 
							
						 
					 
				
					
						
		      	
							
								Note, 
								  January 2021
					 				
							 
							Water risk: what COVID-19 has taught us about ignoring systemic risks and what to do about it 
							For the past decade, WWF has been asking, “why are water crises continually ignored despite featuring on the WEF risk list year after year?” We know water crises are happening, we know the impact is substantial, and we know the risks are worsening, yet nobody is (...) 
							
						 
					 
				
					
						
		      	
							
								Strategy, 
								  July 2020
					 				
							 
							Machine Learning : Choosing the best regime for you! 
							Machine learning and big data techniques have been developed making it possible to apply sophisticated mathematical models (hidden Markov switching models, which we will examine later) to financial data series in order to identify market regimes. All this has created scope (...) 
							
						 
					 
				
					
						
		      	
							
								News, 
								  May 2020
					 				
							 
							Emerging market green bond issuance hits $52 billion in 2019 and can help weather shocks, Amundi and the IFC reveal in new report 
							Need for green investments is crucial: current pandemic shows responsible investors in emerging markets can collaborate with issuers through green bonds to unlock long-term capital and help issuers become more resilient for shocks to (...) 
							
						 
					 
				
				
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