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Geraint Morgan

Geraint Morgan

Director, Portfolio Monitoring

Geraint est directeur du suivi des portefeuilles et a rejoint bfinance en 2015. Il était auparavant co-responsable de la recherche quantitative au sein du Skandia Investment Group, avec la responsabilité du suivi quantitatif d'un large éventail de produits multi-gestionnaires et de classes d'actifs. Geraint est titulaire de l'IMC et d'un BSc en mathématiques avec études actuarielles de l'Université de Southampton.


Market intelligence:

Active currency overlays and ‘currency for alpha’ managers struggled for much of the ‘ZIRP’ era. Now, divergence between major currencies has brought heightened FX risk for investors – but also...

Transaction cost analysis (TCA) awareness is on the rise, with equity and bond investors increasingly recognising trading as a key area of leakage.

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 in...

Following a fundamental shift in macroeconomic conditions, we weigh up the attractions of small cap equities in an era of lower economic growth and elevated inflation and revisit the case for...

During 2021-22, the results produced by active equity managers have been heavily influenced by the extent to which their portfolios have been ‘geared in’ to recent inflationary dynamics. Yet those...

BlackRock, Ontario Teachers’ Pension Plan and Sequoia Capital are among the named investors of FTX — the Bahamas-based cryptocurrency exchange whose collapse has made headlines across the financial...

Through historic market downturns, defensive long-only equity strategies have shown a consistent ability to protect investor capital. Yet recent experiences have prompted questions around...

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,...