- Advertisement -

Related

Pimco tappade 200 miljarder dollar AuM under 4 kv

- Advertisement -

Göteborg (FinWire)- Kapitalförvaltaren Pimco tappade 16 procent av sitt kapital, motsvarande 200 miljarder dollar, under det fjärde kvartalet i spåren av stjärnförvaltaren Bill Gross avhopp. Det skriver Financial Times.

Inledningsvis var det främst retailkunder som valde att plocka ut kapital efter Gross avhopp. Senare under kvartalet har dock även institutionella ägare valt att plocka ut kapital.
I slutet av december hade Pimco 1,27 biljoner dollar i förvaltat kapital.

Tyska försäkringsjätten Allianz är ägare till Pimco.

Bild: (c) by Werner B.—pixelio.de

Subscribe to HedgeBrev, HedgeNordic’s weekly newsletter, and never miss the latest news!

Our newsletter is sent once a week, every Friday.

FinWire
FinWirehttp://www.finwire.se
Vi har en idé om att leverera nyheter inom komplementära områden till redan existerande nyhetstjänster. Områden dit tiden för de stora redaktionerna helt enkelt inte räcker till för att bevaka. Vår första tjänst är inriktad mot småbolag. Bolag som idag saknar nödvändig journalistisk bevakning. Vi skriver om bolag dit journalistens telefon aldrig ringer och aktieägarens intresse inte tillgodoses.

Latest Articles

Asset Adviser Appoints Frank Sørensen as Senior Strategist

Danish boutique asset manager Asset Adviser has appointed Frank Sørensen as Senior Strategist, less than a year after Stonehenge Fondsmæglerselskab, the Danish asset manager...

Elo’s Hedge Funds Stand Out in Strong First Half

Finland’s pension investors are entering a new phase as regulatory changes allow them to increase their equity exposure and raise long-term return expectations. For...

Agmentum Maritime Adds to Portfolio Management Team

Agmentum Capital, the asset manager behind the shipping-focused equity long/short hedge fund Agmentum Maritime, has strengthened its portfolio management team with the appointment of...

Coeli Winds Down Energy Opportunities as Etzler and Kalvoy Move on to New Opportunity

After more than seven years at Coeli, energy-focused portfolio managers Joel Etzler and Vidar Kalvoy are leaving the Stockholm-based boutique for what they describe...

Danske Strengthens Quant & Overlay Team with Goldman Sachs Hire

Danske Bank Asset Management has strengthened its Quant & Overlay team with the appointment of Jonas Bovbjerg as portfolio manager, following an 11-year career...

Whipsaws and Trend Reversals Challenge Nordic CTAs in July

July proved a challenging month for trend-following strategies, as a series of abrupt reversals across financial markets disrupted established trends. CTA managers faced losses...

Allocator Interviews

In-Depth: Diversification

- Advertisement -

Voices

Request for Proposal

- Advertisement -