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Big debate: passive versus active 20 May 2013
A. What is the best way to access low volatility investments? Schofield (active manager): There are four clear reasons why ...
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INTECH moves into emerging market strategies 04 Apr 2013
Interest is rising in emerging market strategies that offer low volatility and managed volatility, according to David Schofield, president of the ...
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Acadian AM wins Danish mandate 15 Feb 2013
... based Acadian Asset Management, has been selected by Danish occupational pension fund administrator PKA to manage a volatility mandate. ...
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AXA IM wins new UK mandate 17 Jan 2013
... "We decided to incorporate an LDI solution within our overall investment strategy in order to reduce the impact of volatility on council tax payers and ...
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Asia corporate bonds grow in 2012 12 Mar 2013
... even if the record levels of Asian US dollar bond supply was coupled with a few poorly structured deals and US treasury volatility have eroded ...
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Client demand rises for infrastructure funds 13 May 2013
... INPP posted total returns of 13%, HICL 14%, JLIF 13% and GCP 16% and share prices have only suffered 60% of the volatility evidenced by the ...
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Asset allocation superior to stock selection 23 Apr 2013
... strategies yield a superior dispersion in returns than stock selection strategies, particularly when there is an economic crisis or high market volatility. ...
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Nomura: East meets West 16 Aug 2012
... Another key change is the rise of volatility as an asset class over the last year. In turbulent markets we have seen clients ...
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RBC publishes UCITS report 18 Apr 2013
... report notes that Ucits funds are seen by global investors as "the gold-standard regulated fund vehicle", particularly in periods of economic volatility. ...
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Ossiam lists new ETFs on Swiss exchange 18 Apr 2013
... strategy applied to global equities in world developed markets, either in euro or US dollar, thus diversifying their portfolios while controlling volatility ...
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