- Advertisement -

Related

Stora flöden till hedgefonder hos nätmäklarna

- Advertisement -

Stockholm (HedgeNordic) – Enligt statistik från Avanza och Nordnet har den senaste tidens turbulens på aktiemarknaderna medfört att spararna i allt större utsträckning söker sig till defensivare alternativ, däribland hedgefonder.

I en kommentar till Privata Affärer säger Avanzas sparekonom Claes Hemberg:

– Fondspararna har aldrig köpt så mycket hedgefonder som i år. De har köpt årets alla månader och 2015 ser ut att bli genombrottsåret för hedgefonder.

Statistik från Avanza visar att de populäraste hedgefonderna just nu är: Atlant Stability, Catella Hedgefond och Brummer Multi-Strategy.

Även Nordnet har sett en ökad aktivitet bland de mer defensiva fondvalen. Nordnets kommunikationschef Johan Tidestad säger till Privata Affärer att “spararna kastar ut bioteknikfonder med hög risk och investerar istället i mer trygga ränte- och hedgefonder”.

På Nordnet är den mest köpta hedgefonden under augusti Merrant Alpha Select.

Bild: (c) patpitchaya – shutterstock

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

Our newsletter is sent once a week, every Friday.

Jonathan Furelid
Jonathan Furelid
Jonathan Furelid is editor and hedge fund analyst at HedgeNordic. Having a background allocating institutional portfolios of systematic strategies at CTA-specialist RPM Risk & Portfolio Management, Mr. Furelid’s focus areas include sytematic macro and CTAs. Jonathan can be reached at: jonathan@hedgenordic.com

Latest Articles

Diversification That Comes From Somewhere Else

Insurance-linked investments offer something increasingly difficult to find in institutional portfolios: return drivers that are fundamentally different from those behind equities and bonds. At...

Reinforce, Don’t Replace: Carrying the 60/40 Through the Fragile Decade

By Steven Braun at Newfound Research and Return Stacked® Portfolio Solutions: Despite its ambiguous origins, the 60/40 remains the default portfolio for investors approaching...

Varma: Practical Considerations for Embracing a Total Portfolio View

Finland’s Varma is one of several large Nordic asset owners that has been moving towards a more holistic view of the portfolio – some...

Thinking Outside the 60/40 Box: How Active and Dynamic Commodities Can Complement Bonds

Bonds helped investors to diversify equity between about 2000 and 2021, which more than covers the entire career of many allocators. Since 2022 bonds...

60/40 – Don’t Count On It

By Harold de Boer at Transtrend: Cows produce milk. Every day again. That’s the fixed income for the dairy farmer. Bulls don’t produce milk....

Baillie Gifford: Emerging Markets Are Moving Beyond the Macro Cycle

For decades, emerging markets have largely been viewed through a macro lens: a bet on a weaker U.S. dollar, rising commodity prices and stronger...

Allocator Interviews

- Advertisement -

Voices

Request for Proposal

- Advertisement -