Fund management
Fund managers and insurers unite to combat Priips confusion
Cross-industry working group pledges to develop industry-standard templates
Active fund managers underperform in Europe but not UK, S&PDJI
UK fund managers almost always outperform benchmarks, S&P
Creating flexible risk reporting
Sponsored Q&A: Broadridge Investment Management Solutions
The compliance implications of AIFMD
Managed expectations
Fund managers to increase ETP exposure, finds Lyxor survey
A survey from Lyxor finds that fund managers expect to increase their allocations to exchange-traded products over the next three years
Lookback
Lookback
The lure of leveraged funds in China
The lure of leverage
Block trade allocations: FCMs and CCPs prepare for new regime
Block around the clock
Unconstrained bond funds gain momentum as investors turn away from benchmarks
Asset managers have reported demand from clients for so-called unconstrained bond strategies; freeing them from the rigidity of managing to benchmark bond indexes. Credit talked to five leading investment firms to get their take on the unconstrained…
When the tiger bites back: Tanuj Khosla column
When the tiger bites back: Tanuj Khosla column
That’s entertainment: Caveat Lector column
That’s entertainment: Caveat Lector column
State Street warns of continued political dangers for Europe investors
From big picture to particular focus: Kevin Anderson profile
Glendevon King strategy aims to separate company risk from country risk
Investor profile: Glendevon King Asset Management
Credit Market Data Roundup – June 2011
Credit Market Data Roundup – June 2011
Avoca Capital lifts out Liontrust’s credit team
Avoca Capital lifts out Liontrust’s credit team
High yield and emerging markets still attractive: Paul Griffiths interview
Q&A: Paul Griffiths