January 2011
January 26, 2011
There is still plenty of hard graft ahead over the next couple of years to mitigate the effect of the EU's Alternative Investment Fund Managers Directive
January 26, 2011
Brazil-based investment bank and asset manager BTG Pactual is well-positioned to exploit the big changes that are underway in the global economy and the world financial order. And the group’s flagship hedge fund strategy has made a spectacular start in its first two years of trading
January 26, 2011
After losing 92% in 2008, the Russian-related Greater Europe Fund has a long way left to recover. But the fund is already up by more than 250% since the start of 2009
January 26, 2011
Capital Four Management is now beginning to market its opportunistic long/short fund to external investors
January 26, 2011
An overhaul of their hedging and investment strategy has enabled Gavin Wilson and Mark Redway to bounce back from a big drawdown in 2008 – focusing the fund more explicitly on drilling ‘events’ in the oil and gas sector and reducing its exposure to big market movements and the oil price
January 26, 2011
After bouncing back from a poor 2008, long-running M&G manager Dave Fishwick believes his unusual strategy is well placed to exploit the febrile market environment that could persist for some time yet