United states
Advanced economies, compared with emerging markets, have better fundamentals, but getting back to ‘normal' will be a multi-year process, says economist Nouriel Roubini.
Hedge Funds Review | 03 Feb 2012
As the European distressed cycle begins, Gertjan (GJ) Koomen, chief investment officer at Sothic, believes there will be many opportunities in distressed corporates over several years.
Hedge Funds Review | 03 Feb 2012
Recent insider trading and fraud cases involving hedge funds are indicative of a more aggressive approach to investigating financial crimes in the US as the focus moves to suspicious trading activity....
Hedge Funds Review | 03 Feb 2012
Changes in demographics and sluggish investment flows will check the fast economic growth in the Bric countries over 2010-20. Slower growth will impact the global economy, says Legal & General.
Hedge Funds Review | 02 Feb 2012 |
Opportunities for mergers and acquisitions (M&A) could pick up in 2012 although economic, political and regulatory challenges remain and activity is dependent on confidence returning to the markets.
Hedge Funds Review | 01 Feb 2012
Alcentra says sub-investment grade leveraged loans are becoming an accepted asset class in Europe as the market develops. Institutional investors are the norm in Europe compared with retail in the US....
Hedge Funds Review | 01 Feb 2012 |
US college and university endowments favour allocations to alternatives, including hedge funds. Best returns in 2011 came from commodities/managed futures, energy/natural resources and venture capital.......
Hedge Funds Review | 01 Feb 2012
Over half of hedge funds and institutional investors think the US is most likely to lead an equity rally this year. The EU came second with 16%, according to a Hedge Funds Review website poll.
Hedge Funds Review | 31 Jan 2012
Alternative Ucits is an investment vehicle people outside of Europe want to know more about. PerTrac’s comprehensive survey of the market reveals some surprises on location and size of the market.
Hedge Funds Review | 30 Jan 2012 |
Credit markets are experiencing unprecedented volatility as hedge fund managers focus on liquid high-quality credits at or near the top of the capital structure and avoid riskier bonds and loans.
Hedge Funds Review | 25 Jan 2012 | 
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