Asset Class
DekaBank hat drei Deka-Nachhaltigkeit Fonds auf den Markt gebracht, die es ihren Kunden ermoeglichen, in einen Aktien-, Renten- oder gemischte Fondsportfolio ohne ein schlechtes Gewissen zu investieren.
01 Feb 2012Nicolas Simar, Leiter der Equity Value Boutique bei ING Investment Management, sagt unterbewertete Zykliker bieten attraktivste Chancen für europaeische Dividende
31 Jan 2012Bill O'Neill, chief investment officer, EMEA at Merrill Lynch Wealth Management, says in his latest weekly outlook that the key test is how markets may benefit from liquidity - assuming there is no more bad news from Europe.
31 Jan 2012AllianceBernstein has launched a US equity fund focused on large- and mid-caps. This marks the first Luxembourg domiciled fund in Europe for star manager Kurt Feuerman, who moved from US hedge fund Caxton Associates mid last year.
31 Jan 2012ACMBernstein hat ab sofort Zulassung, einen neuen US-Aktienfonds in Deutschland zu vertreiben. Der Fonds ist der erste luxemburgische Fonds in Europa fuer Kurt Feuerman, der letztes Jahr von dem beruehmten US Hedgefonds Caxton Associates wechselte.
31 Jan 2012Fitch Ratings has affirmed that three of JPMorgan Investment Management's offshore money market funds are rated 'AAAmmf'
30 Jan 2012Galia Velimukhametova, manager of the GLG European Distressed Fund, has picked out rising default rates as one of the key themes in the latest thinking around distressed debt investment opportunities.
30 Jan 2012French headquartered fund manager Comgest has won an award in Germany for the best fund boutique of the year, at a time investor appetite is growing for such independent managers.
30 Jan 2012Many institutional investors bought volatility-linked instruments cheaply recently, to cushion against the damage that current macro-economic risks can do to their equities.
27 Jan 2012US dollar weakness, emerging markets strength and markets that have priced in bad scenarios were three key themes as the global chief investment officer of Credit Suisse's private banking arm explained the bank's macro and market view of the world in 2012 and beyond.
27 Jan 2012Sergio Trezzi and Miguel Rona, Invesco’s European co-heads of wholesale business, explain that it is not enough to make static allocations by asset class.
27 Jan 2012Equity funds saw outflows of nearly €70bn, and fixed income funds shed €44bn, according to Morningstar's latest research into European fund flow data.
26 Jan 2012Philip Poole, global head of Macro & Investment Strategy at HSBC Global Asset Management, notes the fear among investors that eurozone sovereign debt faces a rollover challenge.
26 Jan 2012The possibility for central banks to switch on money-printing machines again, and gold miners increasing dividends, continue to boost the case for bullion and gold equities, managers say.
19 Jan 2012Susanne Willumsen of Lazard Asset Management explains why lower volatility equities do not equal lower returns. In fact, quite the opposite can be true.
16 Jan 2012Regions
Print Edition
Fund managers discuss the changee that may damage their offshore fund model, but not kill their industry.
Events
InvestmentEurope's country specific forum for France takes place in Paris on 22 May 2012.
InvestmentEurope's country specific forum for Italy takes place in Milan on 12 June 2012.