Features/Strategy
Formed through a spin-off from JWM Capital Partners, Episteme Capital’s inaugural fund went live in July this year.
Alex Schmid thinks there is a rare, niche opportunity for investors in one of the few remaining territories standing outside the world’s financial markets.
The credit markets have avoided becoming the next bubble waiting to burst. Nevertheless, investors should be cautious of government bonds.
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Features/Strategy articles
Increased issuance of US investment grade bonds present increased opportunities, says Scott Service, senior global strategist at Loomis, Sayles & Co. There has already been a huge rally and he is confident “there is more rally to come”.
Investors must be wary of a still-volatile economy and pick investments accordingly. However, emerging markets are a good bet and will continue to be so, concludes Cayzer Trust Company director Dominic Gibbs.
Investors were shocked in 2008 when they discovered diversifying a portfolio could not get rid of risk. Economists were less unsettled. They tend to look at a whole range of views, examining data and information domestically and globally in order to form...
As investors continue to be wary of the more exotic strategies, many are looking at infrastructure where real tangible assets and investments could reap high returns. Kris Devasabai examines the interest in this sector as governments around the globe...
The bond market has not been immune to the global economic crisis. Investor confidence has been shaken. However, the overall lack of liquidity has increased the importance of bond markets as a source of finance for companies and governments.
Art is not generally seen as an investable asset class. For some hedge funds, however, trading art can be as profitable as any other strategy. Kris Devasabai and Stephen Quigley examine how art is being successfully traded
What strategy will be the top performer in 2009?
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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