Hedge Funds Review - July/August 2014
Articles in this issue
Oesa: Europe little to learn from US clearing roll-out
US would have benefited from pragmatic European approach
Positive MBS momentum from R&W settlement trades
Legacy non-agency market benefits from anticipated payouts
Hedge funds warned fee ratios still too high
Costs have fallen already, but investors demand better deals
Equity strategy launches turn post-crisis corner
Reversal of three-year negative alternative equity sentiment
Low yields and low volatility a growing bubble
Fed-sponsored low rate environment a ticking time bomb
Marathon: expand hedge fund role in Europe's capital markets
Hedge funds to follow US model by taking on bank risks
USS IM cajoles hedge funds to behave better
Corporate governance initiatives gain traction with funds and investors
SuperDerivatives: Asia favoured by OTC regulatory arbitrage
Lower trading costs could tempt funds, managers and dealers
Hedge funds ‘biding their time’ to file Euribor suits
Large US fixed-income funds moot rate-rigging legal action
Wadhwani advocates defensive hedge fund position
Tough environment for CTAs likely to end as interest rates start to rise
Investors can survive rich world lowflation
But risks of EU deflation still loom