Strategy
All article related asset management strategies
Single Strategy
Strategy,
August 2012
Despite DB Decline, U.K. Institutional Market to Provide Ample Opportunities for Asset Managers for Next 10-20 Years
Results of the Greenwich Associates 2012 U.K. Investment Management Study reveal that the U.K. institutional investment market should continue to expand over at least the next decade or two, but changing product demand will fundamentally shake up the source of revenues for (...)
Interview ,
December 2011
Olivier Davanne and Thierry Pujol : « Our investment process is carried out along with systematic evaluations of risk premiums !»
According to the two co managers of Groupama Risk Premium, the high price of the markets and the systematic evaluation of risk premiums play an essential role in their investment decisions. This is a unique approach in (...)
Innovation,
November 2011
Groupama to launch a fund based on risk premiums
Groupama Risk Premium distinguishes itself in the French market with its reliance on risk premiums to allocate its portfolio between the three main asset classes (equities, bonds, currencies).
Pedagogy,
November 2011
How to develop a quantitative model for stock picking ?
Cyrille Collet, Christian Lopez and Alexander Decoene from CPR AM show us how to make static combinations of factors to create a model for stock picking on a given universe ...
Strategy,
October 2011
Dividend stocks back in the spotlight
Dividend stocks are an essential element in any diversified portfolio. It is, after all, worth noting that no less than 70% of the return on stocks since 1970 can be attributed to dividends paid out.
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Multi-Management
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
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