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bfinance bfinance
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    Mind the Cap: Revisiting Small Cap Equities

    Mind the Cap: Revisiting Small Cap Equities

    Emerging Market Debt: Extracting Potential Amidst Complexity

    Emerging Market Debt: Extracting Potential Amidst Complexity

    Impact Equity Sector Grapples with Performance ‘Perfect Storm’

    Impact Equity Sector Grapples with Performance ‘Perfect Storm’

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  • Accessing the Climate Transition through Liquid Alternatives

    Increasingly troubling news—from wildfire damage to sea temperature anomalies—continues to remind us about the urgency of action on climate change.

  • Asset Owner Survey: Investors’ Costs and Fees

    Investors are grappling with cost management challenges amid persistent inflation, heightened ESG requirements and regulatory burdens. To find out more, bfinance surveyed nearly 200 asset owners

    ...
  • Rise of the Allocators: Multi-manager Strategies for Alternative Investing

    Rise of the Allocators: Multi-manager Strategies for Alternative Investing

    Powerful forces have supported the growth and evolution of multi-manager models for ‘alternative’ investing over the past fifteen years.

  • Manager Intelligence and Market Trends - May 2023

    Manager Intelligence and Market Trends - May 2023

    bfinance’s quarterly report in May 2023: read the team’s latest insights on institutional investor activity, risk appetite, market developments and asset manager performance across all major

    ...
  • Multi-Strategy Hedge Funds - Sector in Brief

    Multi-strategy hedge funds are currently under the spotlight following recent strong performance. However, with more than 1000 providers now self-defining themselves as ‘multi-strategy hedge

    ...
  • Are Equity Long/Short Managers Meeting Investors’ ESG and Climate Needs?

    Equity long/short strategies are ahead of the curve on ESG and carbon emissions versus their hedge fund counterparts in other strategies–thanks largely to the groundwork laid by the long-only

    ...
  • Manager Intelligence and Market Trends - February 2023

    bfinance’s quarterly report in February 2023: read the team’s latest insights on institutional investor activity, risk appetite, market developments and asset manager performance across all major

    ...
  • Commodities - Sector in Brief

    Fewer than a quarter of institutional asset owners invest directly in commodities, according to the latest bfinance Global Asset Owner Survey. Most do not have explicit exposure to this famously

    ...
  • DACH Investor Trends in Focus

    Asset owner data from bfinance’s biennial Global Asset Owner Survey: Traps and Transitions reveals key differences

    ...
  • Clarifying the Case for ‘Convex’ or ‘Divergent’ Hedge Fund Strategies

    ‘Divergent’ or ‘convex’ hedge fund strategy indices posted average returns of nearly 10% through the first three quarters of 2022. Even small allocations to these strategies have provided

    ...
  • Manager Intelligence and Market Trends - November 2022

    bfinance’s quarterly report in November 2022: read the team’s latest insights on institutional investor activity, risk appetite, market developments and asset manager performance across all major

    ...
  • Global Asset Owner Survey: Traps and Transitions

    A secular macroeconomic transition has created an unenviable series of choices—and potential traps— for pension funds, insurers, endowments, foundations, family offices and other ‘asset owners’

    ...
  • UK Investor Snap Poll Reveals Shift in Allocation Intentions

    A quick poll of UK Asset Owners on October 18-19 2022 suggests a significant change in expectations for asset class exposures over the next year, versus a survey conducted one month prior. A

    ...
  • Global Macro – Sector in Brief

    Global macro hedge funds have produced outstanding returns through recent turmoil in equity and bond markets. An educational briefing covers strategy types, asset allocation approaches,

    ...
  • Downturn Reveals Resilience of Alternative Risk Premia

    The first half of 2022 saw Alternative Risk Premia (ARP) strategies deliver—at last— meaningful positive returns during an equity market downturn. This result is of major significance for a group

    ...
  • Manager Intelligence and Market Trends - August 2022

    bfinance’s quarterly report in August 2022: read the team’s latest insights on institutional investor activity, risk appetite, market developments and asset manager performance across all major

    ...
  • Portfolio Protection and Overlays: Time for a Rethink?

    Following the considerable market losses endured in the first half of 2022, investors are taking the opportunity to weigh their own results and reassess resilience. Portfolio diversification,

    ...
  • Manager Intelligence and Market Trends - May 2022

    bfinance’s quarterly report in May 2022: read the team’s latest insights on institutional investor activity, risk appetite, market developments and asset manager performance across all major

    ...
  • Snap Poll: What are investors thinking now?

    Institutional investors around the globe shared how they are responding to pressing geopolitical and macroeconomic developments. With 418 investors from 39 countries taking place at the end of

    ...
  • Alternative Risk Premia Strategies Revive and Evolve after Pandemic Rout

    Last year saw Alternative Risk Premia (ARP) strategies recoup a substantial proportion of the losses endured during 2020—an annus horribilis during which the bfinance ARP manager composite lost

    ...

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