Single manager
Cheyne has distinguished itself through a division of five investment teams each investing by specific asset classes: corporate credit, real estate debt, event driven, convertible bonds and equities.
Independent commodity asset manager Diapason Commodities Management is launching a hedge fund trading spreads between commodity future contracts using a proprietary model of the refining industry.
Eiffel Investment Group was set up in July 2011. It now runs three credit strategies. As changes occur in European credit, Eiffel’s CIO sees plenty of opportunities for its long/short credit fund.
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
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Grosvenor Capital Management has committed $85 million in seed capital for a structured credit hedge fund started by a group of former Citadel executives.
The combination of Brevan Howard’s expertise and operational infrastructure with the active management of a portfolio concentrate on emerging market fixed income has proved successful.
Hubert Keller, managing partner, asset management, at Lombard Odier Investment Managers says investors are making fundamental changes in the way they approach portfolio and hedge fund allocations.
Crispin Odey, winner of the outstanding contribution to the industry award at the 12th European Single Manager Awards 2012, talks about hedge funds, performance, regulation and politicians.
Paul Ruddock, co-founder and CEO of Lansdowne Partners, the London-based hedge fund with $16 billion of assets under management, talks to Hedge Funds Review about the industry and its future.
The hedge fund industry has entered a new era of regulation but will continue to thrive, said Winton Capital Management founder, managing director and head of research David Harding.
When Stanley Fink decided to come out of retirement after only a couple of months, few were surprised. The man who was one of the dominating characters of the hedge fund industry commands respect.
This handy guide reviews the various steps banks are taking to improve their risk management techniques, looking at the benefits and pitfalls of each one.
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