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Gold

Hedge fund investors look to share classes for currency risk management

Part of the currency hedging process is managing the exposure gained through hedge fund share classes, another aspect of risk management, which is becoming more of a focus for investors.

Hedge Funds Review | 30 Jan 2012secure

Life preserver floating on binary data

Sprott sounds warning on global risks

Canadian asset manager Eric Sprott says recent market stability will be short-lived and tells investors to increase exposure to precious metals. He warns of prolonged low US growth.

Hedge Funds Review | 25 Jan 2012secure

Cross-asset correlation hampers hedge fund returns according to spread-trading asset manager

Rising cross-asset correlation has made it harder for hedge funds to generate alpha. An analysis shows correlation between the S&P 500 and US Treasury bills hit a 13-year low in 2011.

Hedge Funds Review | 09 Jan 2012secure

Stenham Gold: Stenham Asset Management

Shortlist: Best performing specialist fund of hedge funds over three years

Hedge Funds Review | 23 Nov 2011secure

Audio listing

A selection video interviews and reports covering a wide range of subjects including service providers, investors, hedge fund managers and others associated with hedge funds.

Hedge Funds Review | 03 Nov 2011 | screening image

Manager profile: Eric Sprott, CEO, chief investment officer and senior portfolio manager, Sprott Asset Management

Canadian asset manager Eric Sprott now has over $10 billion invested in his mutual funds, hedge funds and discretionary accounts. His investment thesis is simple: go long gold and silver, short everything......

Hedge Funds Review | 31 Aug 2011secure

Range of hedge fund strategies offer inflation protection for investors

Inflationary protection is offered by intermediate maturity US Treasury inflation protected bonds, gold, stressed corporate bonds, commodities, diversified macro, emerging markets and managed futures....

Hedge Funds Review | 08 Aug 2011secure

Hedge fund managers losing confidence in gold

Hedge fund managers are no longer bullish on gold as real interest rates are pushed higher amid inflation concerns, according to Bank of America Merrill Lynch's head of global commodity research.

Hedge Funds Review | 16 Jun 2011secure

Hedge fund investors seek protection in macro uncertainty

Macro factors are driving hedge fund investors to reassess their positioning as central bankers signal an end to ultra-stimulative monetary policy in developed markets.

Hedge Funds Review | 01 Jun 2011secure

Audio: FX hedge fund manager John Taylor bullish on commodities after S&P's US debt move

S&P’s move to negative from stable for US sovereign debt means little to markets that are already cautious about the US dollar and bullish about commodities such as gold and oil.

Hedge Funds Review | 22 Apr 2011 | screening image

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