- Advertisement -

Guest Contributor ─ author

This article was written by a third party as guest contribution. The content represents the views of the author(s). It was submitted and edited under HedgeNordic´s guidelines, but is not a product of HedgeNordic´s regular editorial team.”

Latest articles

EM Corporate Bonds: Could Trump’s Tariffs Create Opportunities?

By Toke Hjortshøj, Senior Portfolio Manager at Impax Asset Management: Emerging market (EM) corporate bonds are on the frontline of the tariff war that...

Emerging Market Debt Investment Views

By Abdallah Guezour, Head of Emerging Market Debt and Commodities at Schroders: Emerging market debt (EMD) continues to perform well despite the “aggressive Trump” scenario...

Emerging and Frontier Markets Outlook 2025 – Another Alpha Year?

By Jacob Grapengiesser and Peter Elam Håkansson at East Capital: 2024 was a solid year for emerging and frontier markets, both returning 12% in...

Main Drivers of CTA Performance in 2024

By RPM Risk & Portfolio Management: Following a year of low Time Series Momentum (TSMOM) and relatively weak performance, in 2024, CTAs generated positive...

A Smarter Governance Model for Hedge Funds

By Sofia Beckman – North House: Over the past two decades, hedge funds have faced an increasingly complex regulatory landscape. Each wave of new...

Investor relations in 2024/2025

By Hannah Smith – Edgefolio: Fund marketing and investor relations are two sides of the same coin. As with most subscription sales, there is...

The Challenge of Oversight and Control

By Carl-Fredrik Svensson, CEO – Daymi: Good oversight is becoming increasingly harder as the industry continues to grow with more outsourcing partners, new software...

Tidan’s Hidden Asset: Technology in a Multi-Fund Transformation

By Stephen Roberts – Enfusion: The Nordic region is a growing force in global hedge fund markets, recognized for its innovation and strategic agility....

Trump Win Delivers Equity Sector Winners and Losers

By Rebecca Chesworth, Senior Equity Strategist at SPDR: Investors agonised over managing a complex or delayed US election result, but the Republican’s unexpectedly swift...

Investing for Resiliency with Alternative Credit

By Anders Persson, CIO, Head of Global Fixed Income – Nuveen: Investors have become increasingly uncertain of the investment landscape given the various economic...

High Yield: Resilience Amid a Shifting Backdrop 

By Scott Roth and Chris Sawyer, Barings: High yield remains well-positioned against a macro backdrop that gives us both reasons for confidence and concern. On the confidence side, market worries...

Unlocking Opportunities in the Central Bank Cutting Cycle

Kristian Myrup Pedersen, Quant Director – CABA Capital: The late summer of 2024 marked a turning point for financial markets with global central banks...

Find us on

Latest articles

- Advertisement - spot_imgspot_img