Sloane Robinson, the once-$20 billion emerging markets hedge fund that converted to a family office in 2020, is staging a comeback with a new long-short equity strategy that's already trouncing ...
"We have worked with Shelley for mutual clients for more than 15 years," says David Nissenbaum, co-head of Schulte's Investment Management practice. "When Shelley formed her own firm, it was obvious ...
Opalesque Industry Update - GW&K Investment Management (GW&K), an entrepreneurial-driven investment management firm offering active equity and fixed-income investment solutions to meet the needs of a ...
Because the majority of private capital is raised in USD, many hedge managers hold long USD and short foreign currency positions related to existing hedges. They also have an ongoing need to execute ...
An energy transition hedge fund managed by Tall Trees Capital Management LP is nimbly navigating the current energy market dislocations.
Results from the 2025 Natixis Wealth Industry Survey -which included 520 investment professionals running investment platforms and managing assets at leading wealth managers in 20 countries-suggest ...
This launch will be AXA IM Alts' second evergreen private credit strategy available to individual investors, following the recent launch of a private credit strategy, which focuses primarily on direct ...
CAIS Models Marketplace will offer three multi-asset and multi-manager model portfolio configurations, enabling advisors to allocate seamlessly through CAIS' trade technology: ...
Falfurrias Management Partners has closed its latest vehicle Falfurrias Capital Partners VI, at $1.35 billion in investor commitments. The fund was oversubscribed. The firm's previous fund, Falfurrias ...
Opalesque Industry Update - Rothschild - Co has announced that Nicolas Lanel will join the Group to support the firm's Private Capital business development throughout Europe with the origination and ...
Many Asia-focused funds maintained long positions in resilient Asian markets while hedging exposure to U.S. and European equities. Foreign exchange hedging further insulated these funds from broader ...
The study reveals that investors in APAC responded to volatile market conditions with caution - consolidating their product offering among a shrinking number of major global firms as a hedge against ...
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