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Eugeniu Guzun ─ author

Eugeniu Guzun serves as a data analyst responsible for maintaining and gatekeeping the Nordic Hedge Index, and as a journalist covering the Nordic hedge fund industry for HedgeNordic. Eugeniu completed his Master’s degree at the Stockholm School of Economics in 2018. Write to Eugeniu Guzun at eugene@hedgenordic.com

Latest articles

The Rise of Hafnium: A Quantitative Macro Fund in Copenhagen

Stockholm (HedgeNordic) – Two Frenchmen, Alexis Dubois and Victor Clausen Brassart, are turning some heads in the Nordic hedge fund industry. Drawing on extensive...

‘Ketchup Effects’ Behind Elementa’s Strong November

Stockholm (HedgeNordic) – After a year of ups and downs, long/short equity fund Elementa made a leap forward in November, gaining 6.0 percent and...

November Turns Othania’s 2024 from “Great” to “Fantastic”

Stockholm (HedgeNordic) – For Danish fund boutique Othania, 2024 was already shaping up to be a great year in terms of performance. November, however,...

Outsourcing vs. Insourcing: Key Strategic Choices for Asset Managers

The financial landscape is constantly evolving, presenting asset managers with a wide range of complex decisions regarding technology, operational efficiency, regulation, and more. In...

EuroHedge Shortlist Features Strong Nordic Representation

Stockholm (HedgeNordic) – Nordic hedge funds consistently secure a strong presence among the nominees at the EuroHedge Awards, and the 2024 edition is no...

Private Credit: “A Natural Part of Our Portfolio”

Alternative investments such as private equity and private credit have become core components of institutional portfolios, offering a significant source of diversification and the...

Active and Opportunistic Beats the Monkey in High-Yield

Private credit has grown rapidly as an asset class in recent years, attracting significant interest and scrutiny from investors of all sizes. While the...

Harnessing (Solvency II) Expertise and Scale in Alternative Fixed Income

The finance industry is filled with terms that lack universally agreed definitions, and “alternative fixed income” is one such term. What does this term...

Opportunities Amid Complexity in European Special Situations

Most managers in both the public and private credit markets share a common goal: to steer clear of difficult and distressed lending situations. However,...

Gard’s Playbook for Short-Duration Fixed-Income Investing

Different asset allocators often have varying objectives that shape their investment allocation decisions. For instance, institutional investors such as protection and indemnity (P&I) insurance...

Breaking Free from UCITS: Sissener’s New Credit Fund Embraces Flexibility

Philippe Sissener and his team at Sissener AS have successfully managed a high-yield UCITS fund for over five years. Seeing the additional potential for...

Tidan Pushes Nova Strategy Forward with New Hire

Stockholm (HedgeNordic) – Swedish fund boutique Tidan Capital has announced the appointment of Dennis Karlsson as Senior Portfolio Manager within its volatility and options arbitrage...

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