Fund manager Peter Andersland had maintained a bearish economic outlook in recent quarters, and the tariff-related uncertainty and market volatility triggered by U.S. President...
Stockholm (HedgeNordic) – After 15 years stationed at the Helsinki Cable Factory, Finnish asset manager Helsinki Capital Partners (HCP) is relocating its...
Stockholm (HedgeNordic) – Systematic asset manager Qblue Balanced has entered into a strategic partnership with Copenhagen Infrastructure Partners (CIP), a major fund manager...
Stockholm (HedgeNordic) – Commodities asset manager Svelland Capital has launched the first Gold Exchange-Traded Certificate (ETC) on Oslo Børs, providing Norwegian investors...
Since taking the helm as Chief Investment Officer of Apoteket’s Pension Fund in 2017, Gustav Karner has guided the €1.22 billion pension foundation to...
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 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) – Consistently beating the stock market through stock picking is notoriously difficult. Recognizing this difficulty, Joakim Stenberg, co-founder of the now-closed hedge...
By Amadeo Alentorn – Jupiter Asset Management: Having evolved from arboreal primates who relied on their senses and instincts to survive, most humans now...
By Niels Kaastrup-Larsen, TopTradersUnplugged: Some economists simply label today’s rollercoaster commodities markets as merely volatile. Granted, after several years of pandemic-driven upheaval, markets like...
Stockholm (HedgeNordic) – Andrew Beer and his team at Dynamic Beta investments (DBi), which is part of asset management network iM Global Partner, believe...
When allocators and investors hear about annual returns of 20 or 30 percent, their first thought is typically of strong equity market performance. Few,...
The recent broad-based market sell-off following U.S. President Donald Trump’s “Liberation Day” has reverberated across asset classes, including U.S. and European high-yield markets, where...
Fund manager Peter Andersland had maintained a bearish economic outlook in recent quarters, and the tariff-related uncertainty and market volatility triggered by U.S. President...