bfinance bfinance
  • Home
  • La nostra attivita'
    • Asset Allocation Strategica
    • Design di portafoglio
    • Consulenza ESG
    • Ricerca e selezione dei gestori
    • Due diligence operativa
    • Monitoraggio
    • Risk solutions
    • Analisi delle commissioni di gestione
    • Copertura delle classi di attivita'
      • Azionario
      • Obbligazionario
      • Hedge funds
      • Multi asset
      • Diversifying strategies
      • Private equity
      • Private debt
      • Immobiliare
      • Infrastrutture
    • Transaction cost analysis
  • Chi assistiamo
    • Fondi Pensione
    • Compagnie di assicurazione
    • Wealth Managers
    • Fondazioni & Endowements
    • Family Offices
    • Fondi Sovrani
    • Investitori Shariah
    • Piattaforma per i gestori
    • Tutti i Case Studies
  • Chi siamo
    • Il gruppo di lavoro
      • Specialisti d'investimento
      • Responsabili dei rapporti per la clientela
      • Corporate
    • Awards
    • ESG e sostenibilita'
    • Le nostre sedi
  • Approfondimenti analitici
    • Tutti gli approfondimenti analitici
    • Webinars
  • Contatti
Trasferimento di conoscenza agli investitori

Seleziona la tua lingua

  • English (Global)
  • Français (France)
  • Deutsch (DACH)
  • Dutch (Nederlands)
  • English (United States)
  • English (Canada)
  • French (Canada)
bfinance bfinance
  • Home
  • La nostra attivita'

    I nostri servizi

    Strategia

    • Asset Allocation Strategica
    • Design di portafoglio
    • Consulenza ESG

    Implementazione

    • Ricerca e selezione dei gestori
    • Due diligence operativa

    Visione panoramica

    • Monitoraggio
    • Risk solutions
    • Analisi delle commissioni di gestione

    Copertura delle classi di attivita'

    Mercati quotati

    • Azionario
    • Obbligazionario
    • Hedge funds
    • Multi asset
    • Diversifying strategies

    Mercati non quotati

    • Private equity
    • Private debt
    • Immobiliare
    • Infrastrutture
  • Chi assistiamo

    Investitori

    • Fondi Pensione
    • Compagnie di assicurazione
    • Wealth Managers
    • Fondazioni & Endowements
    • Family Offices
    • Fondi Sovrani
    • Investitori Shariah

    Gestori di fondi

    • Piattaforma per i gestori

    Case Studies

    • Tutti i Case Studies
  • Chi siamo
    • Il gruppo di lavoro
      • Specialisti d'investimento
      • Responsabili dei rapporti per la clientela
      • Corporate
    • Awards
    • ESG e sostenibilita'
    • Le nostre sedi
  • Approfondimenti analitici
    • Tutti gli approfondimenti analitici
    • Webinars

    Mega Menu Latest Insights

    Private credit and the asset allocation challenge

    Private credit and the asset allocation challenge

    bfinance Platform: real assets, UK open-ended property funds in five charts

    bfinance Platform: real assets, UK open-ended property funds in five charts

    Manager Intelligence and Market Trends - August 2026

    Manager Intelligence and Market Trends - August 2026

  • Contatti

Ricerca

Loading...
0 Filters
Filter by type
Clear All
All None

Categorie

All None

Categorie

All None

Categorie

All None

Categorie

Ricerca gli approfondimenti per "tag"

  • Alternative Risk Premia
  • Currency
  • Diversifying Strategies
  • Emerging Markets
  • Equity
  • ESG
  • Fees
  • Fixed Income
  • Governance
  • Hedge Funds
  • Impact
  • Infrastructure
  • Investor Spotlight
  • Manager Selection
  • Monitoring
  • Multi Asset
  • Operational Risk
  • Portfolio Design
  • Private Debt
  • Private Equity
  • Private Markets
  • Real Assets
  • Real Estate
  • Risk
  • Strategic Asset Allocation
  • Equity Market Neutral: Sector in Brief

    Equity Market Neutral (EMN), valued at around US$50 billion, is a niche and distinct fragment of the broader Equity Long/Short family, currently estimated to be worth US$1.1 trillion. This pure

    ...
  • Manager Intelligence and Market Trends - May 2024

    Manager Intelligence and Market Trends - May 2024

    bfinance’s quarterly report in May 2024: read the team’s latest insights on institutional investor activity, risk appetite, market developments and asset manager performance across all major

    ...
  • Carbon Trading Strategies: Sector in Brief

    This report provides a concise introduction to the investment characteristics of carbon compliance credits and the growing use of this emerging asset class by hedge funds, traditional asset

    ...
  • Manager Intelligence and Market Trends - February 2024

    Manager Intelligence and Market Trends - February 2024

    bfinance’s quarterly report in February 2024: read the team’s latest insights on institutional investor activity, risk appetite, market developments and asset manager performance across all major

    ...
  • Endowment & Foundation Investment Survey

    In October 2023, 61 senior endowment, foundation and charity/nonprofit investors across 16 countries contributed data and insights for this global study. This community has long been recognised

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

    Manager Intelligence and Market Trends - November 2023

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

    ...
  • Currency Overlays: Active Management is Back

    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

    ...
  • Investor Spotlight: TfL Pension Reaps Rewards from Liquid Alternatives

    With around 15% of the portfolio in ‘liquid alternatives’ such as hedge funds and a full 45% in ‘alternative investments,’ the £14 billion (US$17 billion) TfL Pension Fund has made

    ...
  • Outsourced CIO (OCIO) - Sector in Brief

    The ‘Outsourced Chief Investment Officer’ (or ‘OCIO’) investment model is on the rise. Market volatility, increased portfolio complexity and growing regulatory burdens are encouraging the trend

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

    Manager Intelligence and Market Trends - May 2023

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

    ...
  • 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

    ...

Pagina 2 di 5

  • 1
  • 2
  • 3
  • 4
  • 5
LinkedIn
Twitter
Contattateci

Le nostre sedi

  • Europa
  • Nord America
  • Asia del Pacifico
  • Medio Oriente

Aspetti legali

  • Condizioni di utilizzo
  • Informativa sulla privacy
  • Informativa sui cookies
  • Comunicazioni importanti
Address: Piazzale delle Belle Arti, 2, 00196, Roma
Phone: +39 06 6940 2500
Contatti: Contattateci

Copyright © 2026 bfinance. Tutti i diritti riservati.