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November 2011

Strategy Systematic managers call into question the status of core European sovereign debt as a risk-free asset

Global Macro managers explicitly follow defensive strategies: short exposure to equities (around -20%) and long exposure to the US sovereign debt. On their side, CTAs managers are more aggressive...

November 2011

Innovation Skandia Investment Group (SIG) launches UCITS managed futures fund

SIG has chosen to partner with London based Aspect Capital and is seeking the sort of returns generated by Aspect’s Diversified Programme – the Company’s flagship investment strategy which caters primarily to large sophisticated institutional investors and has a 12 year plus (...)

November 2011

Regulation Extension of the ban on the taking of net short positions in ten French securities of the financial sector

The Board of the AMF considered that the market conditions were not satisfactory to lift the said ban.

November 2011

Opinion Momentum and pricing : some evidence

Few managers can both stay away of short-selling and reassess themselves sharply when prices are excessively low, and above all no one can make it happen every time. In these volatile and shocked markets, timing is key but difficult to (...)

November 2011

Pedagogy 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 ...

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