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Risk Management
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The data provider and analyst Eurekahedge, in its latest report, says that hedge funds posted negative…
Risk Management, Manager Selection, Asset Allocation

A new Financial Stability Paper from the Bank of England offers some re-assurance about the adequacy of the ‘…
Risk Management

A recent paper by Nathan Swen, of the McCombs School of Business, University of Texas, compares the “timing…
State of the Industry, Risk Management, Asset Allocation

When does it make sense for an asset manager to customize its risk model? And why?
There are, after all, a…
Risk Management

“They used a Burr XII extreme value distribution?”
“Yeah, that’s what I’ve heard.”
“What the heck is that?”
“…
State of the Industry, Risk Management, Asset Allocation

Sometimes the early material in a report is so boring that even us dedicated expositors can do nothing better…
Risk Management, Infrastructure

The European Securities and Markets Authority recently warned that valuation risks are on the rise on key…
Risk Management

One venerable theory among alpha seekers is that one should bet on “vice,” that is, one ought to invest in…
Risk Management, Hedge Funds, ESG, Asset Allocation

It is an old and one-would-hope familiar lesson, but not for that reason an unnecessary one. We don’t take…
State of the Industry, Risk Management, Hedge Funds, Asset Allocation

Everybody loves the idea of the central clearing of derivatives. It’s like motherhood, transparency, and…
Risk Management, Hedge Funds

William Sharpe’s 1975 article, “Adjusting for Risk in Portfolio Performance Measurement,” applied Harry…
Risk Management

The Deutsche Börse Group and Eurex Clearing have together issued a white paper on “How central counter-…
Risk Management, Hedge Funds, Access to Alternatives

A surprising dust-up in the blogosphere in recent days concerns Thomas Bayes, and the distinctive branch of…
Risk Management, Manager Selection

A new report stresses the extent to which the world of high-frequency trading is winner-take-all.
Three…
State of the Industry, Risk Management, Hedge Funds

By Donna Marie Howe, CFA
Last week when we met, one of my friends (Jim Purnell, CRO at Kenmar Group) and I…
Risk Management, Private Equity