Stockholm-based fund boutique Tidan Capital has officially launched its multi-strategy fund vehicle, Confluence, with the strategy now overseeing $265 million across fund and separately...
Stockholm (HedgeNordic) – After 15 years stationed at the Helsinki Cable Factory, Finnish asset manager Helsinki Capital Partners (HCP) is relocating its...
Infrastructure is at the heart of Europe’s economic transformation. Richard Marshall, Head of Infrastructure Research at DWS, explores how subsectors like data...
Stockholm (HedgeNordic) – Systematic asset manager Qblue Balanced has entered into a strategic partnership with Copenhagen Infrastructure Partners (CIP), a major fund manager...
Precious metals specialist AuAg Funds continues to celebrate milestone after milestone. Just a month after its alternative 60/40 fund, AuAg Precious Green,...
Institutional investors today allocate across virtually every corner of public and private markets, and private credit has emerged as a market in its own...
Stockholm (HedgeNordic) – Systematic trading has historically thrived in the domain of exchange-traded securities such as equities, listed futures, and other highly liquid instruments....
By Kathryn M. Kaminski and Scott M. Sample, AlphaSimplex: Renewed interest in managed futures has been stoked by a series of disruptive events beginning...
Stockholm (HedgeNordic) – Andrew Beer and his team at Dynamic Beta investments (DBi), which is part of asset management network iM Global Partner, believe...
London (HedgeNordic) – HedgeNordic interviewed Transtrend’s Head of Portfolio Management, Toni Budimir, for the first time since he assumed the role in January 2020. Budimir...
By Amadeo Alentorn – Jupiter Asset Management: Having evolved from arboreal primates who relied on their senses and instincts to survive, most humans now...
Stockholm (HedgeNordic) – Systematic strategies represent a consistent, disciplined, and transparent approach to investing, significantly reducing the risk of human error and emotional decision-making....
The term alternative fixed income can carry a variety of meanings, with interpretations differing among market participants. The definition often depends on an individual’s or firm’s...
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...
Most managers in both the public and private credit markets share a common goal: to steer clear of difficult and distressed lending situations. However,...
By Anders Persson, CIO, Head of Global Fixed Income – Nuveen: Investors have become increasingly uncertain of the investment landscape given the various economic...
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...
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...
Kristian Myrup Pedersen, Quant Director – CABA Capital: The late summer of 2024 marked a turning point for financial markets with global central banks...
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...
Stockholm-based fund boutique Tidan Capital has officially launched its multi-strategy fund vehicle, Confluence, with the strategy now overseeing $265 million across fund and separately...