June 2012
June 22, 2012
Just eight months after being spun out of the investment bank into its asset management arm, Fahad Roumani’s credit hedge fund strategy at JP Morgan is nearing the $500m mark – with an impressive run of performance since launch
June 22, 2012
Rudolf Bohli is broadening his firm’s investment reach and its access to onshore and offshore fund investors at a time of high opportunity and risk for long/short investing in Europe
June 22, 2012
Wells Fargo-owned specialist fixed-income asset manager European Credit Management is stepping up the capital-raising drive for its European special situations hedge fund strategy at a time of escalating drama, volatility and opportunity across the entire crisis-stricken European investment spectrum
June 20, 2012
HSBC remains the clear market leader among hedge fund administrators in Asia, though still pursued by a long list of other players in a market that continues to shrink by number of funds trading as well as by assets over the past year
June 20, 2012
Peter Fletcher discusses the changing alternative investment landscape and why investors are opting for a DIY model today
June 20, 2012
The positive performance of Asian credit funds is leading many investors to view them as something of a safe haven from the volatility of the equities markets
June 20, 2012
As CQS evolves from being a credit house to being a multi-strategy firm, founder and CEO Michael Hintze outlines his investment views in a challenging world
June 05, 2012
The $3.3 billion pension fund takes a thoughtful approach to allocating $600m to FoHFs and hedge funds
June 05, 2012
In 2008, investors with illiquid hedge fund investments looked to the secondary market to release their stakes. Now demand for 'used' hedge fund goods continues to grow by the billions
June 05, 2012
The Managing Your Investment Manager philosophy permeates the US firm’s ethos
June 05, 2012
CEO Øistein Medlien believes Grieg Investor’s strength lies in offering independent and realistic advice