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By Lisa Abramowicz, Miles Weiss and Christine Harper |
May 8, 2013
Hedge funds using debt-trading strategies are expanding at a record pace as they profit from risks big banks are no longer taking.
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By Susanne Walker and Neal Armstrong, Bloomberg |
October 18, 2012
Treasuries rose for the first time in four days amid investor concern that disagreements over budget rules for new European aid may hinder a resolution to the region’s debt crisis, stoking demand for refuge.
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By Simon Kennedy, Bloomberg |
May 3, 2012
Europe’s shifting emphasis from enforcing austerity to seeking economic growth marks a hollow victory for Nobel laureate Paul Krugman.
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By Press Release |
October 22, 2011
Mifid II is a sweeping piece of regulation that will rebuild the framework in which Europe's markets trade.
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By Press Release |
March 24, 2011
Mutual fund investors in 2010 paid lower average expense ratios in stock funds, but bond fund expense ratios remained unchanged.
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By Press Release |
March 1, 2011
New technology products
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By Kathryn M. Kaminski |
February 1, 2011
Fat-tail insurance programs are all the rage, but a more efficient way to manage that risk is to diversify into strategies that provide crisis alpha, like managed futures
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By Daniel P. Collins |
January 1, 2011
In this age of corporate and sovereign solvency risk, we correspond with Mohamed El-Erian, co-chief investment officer of PIMCO, the world’s largest bond trader, with more than $1 trillion in assets under management
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By Yong Liu |
December 1, 2010
Algorithmic trading can generate profits — or losses — in a short amount of time. The key is designing a system that is scalable and has robust risk control