bfinance bfinance
  • Home
  • What we do
    • Strategic asset allocation
    • Portfolio design​
    • ESG advisory
    • Manager research and selection
    • Operational due diligence
    • Monitoring
    • Risk solutions
    • Fee reviews
    • Asset Class Coverage
      • Equities
      • Fixed income
      • Hedge funds
      • Multi asset
      • Diversifying strategies
      • Private equity
      • Private debt
      • Real estate
      • Infrastructure
    • Transaction costs analysis
  • Who we help
    • Pension Funds
    • Insurers
    • Wealth Managers
    • Endowments and Foundations
    • Family Offices
    • Sovereign Funds
    • Sharia Investors
    • Asset Manager Platform
    • View All Case Studies
  • Who we are
    • The Team
      • Investment Specialists
      • Client Consultants
      • Corporate
    • ESG and Sustainability
    • Our Locations
  • Insights
    • All Insights
    • Webinar recordings
  • Contact
Putting power in investors' hands

Select your language

  • English (Global)
  • Français (France)
  • Deutsch (DACH)
  • Italiano (Italia)
  • Dutch (Nederlands)
  • English (Canada)
  • French (Canada)
bfinance bfinance
  • Home
  • What we do

    Service Overview

    Strategy

    • Strategic asset allocation
    • Portfolio design​
    • ESG advisory

    Implementation

    • Manager research and selection
    • Operational due diligence

    Oversight

    • Monitoring
    • Risk solutions
    • Fee reviews

    Asset class coverage:

    Liquid markets

    • Equities
    • Fixed income
    • Hedge funds
    • Multi asset
    • Diversifying strategies

    Private markets

    • Private equity
    • Private debt
    • Real estate
    • Infrastructure
  • Who we help

    Investors

    • Pension Funds
    • Insurers
    • Wealth Managers
    • Endowments and Foundations
    • Family Offices
    • Sovereign Funds
    • Sharia Investors

    Fund managers

    • Asset Manager Platform

    Case studies

    • View All Case Studies
  • Who we are
    • The Team
      • Investment Specialists
      • Client Consultants
      • Corporate
    • ESG and Sustainability
    • Our Locations
  • Insights
    • All Insights
    • Webinar recordings

    Mega Menu Latest Insights

    CLO debt: Solvency II changes the capital equation for insurers

    CLO debt: Solvency II changes the capital equation for insurers

    Navigating semi-liquid private markets in a world of closed-end data

    Navigating semi-liquid private markets in a world of closed-end data

    Portfolio resilience: rethinking the foundations

    Portfolio resilience: rethinking the foundations

  • Contact

Search

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

Categories

All None

Categories

All None

Categories

All None

Categories

  1. You are here:  
  2. Home
  3. Insights
  4. Carbon Cuts or Climate Impact? New Choices for Equity Investors
  5. Article
Global Macro Strategy
Article

Global Macro Strategy: Amid Macro Problems, Will Global Macro Provide Answers?

December 07, 2021

Investors holding stakes in global macro hedge funds have not enjoyed an easy ride over the past decade. Yet as inflation surges, oil prices rise, vaccine rollouts stall and the US Federal Reserve signals an early end to its bond-buying program, these strategies are receiving more attention due to their reputed ability to profit in times of pain.

  • Diversifying Strategies

Read more: Global Macro Strategy: Amid Macro Problems, Will Global Macro Provide Answers?

Article

How Have Managers Performed in China’s Stock Slump?

November 25, 2021

China A-Shares and All Shares equity managers broadly failed to outperform falling markets in the third quarter of 2021 – a disappointment that may surprise onlookers, given that active managers have historically generated outstanding relative returns in this asset class.

  • Equity
  • Emerging Markets
  • Monitoring

Read more: How Have Managers Performed in China’s Stock Slump?

Article

Carbon Cuts or Climate Impact? New Choices for Equity Investors

September 30, 2021

With the investment industry expecting significant outcomes from COP26 in November, climate risk management and portfolio carbon exposures have never been higher on investors’ agendas.

  • ESG
  • Equity
  • Manager Selection
  • Impact

Read more: Carbon Cuts or Climate Impact? New Choices for Equity Investors

Article

Re-evaluating the Case for Listed Infrastructure

September 21, 2021

As the global economy emerges from the shadow of COVID-19, demand for infrastructure has surged among bfinance clients.

  • Equity
  • Private Markets
  • Real Assets
  • Infrastructure

Read more: Re-evaluating the Case for Listed Infrastructure

Article

Riding the Wave: Event-Driven Strategies Surge on New Deal Flows

June 23, 2021

Global deal-making has soared since January, with the value of announced mergers and acquisitions exceeding $2.4 trillion through the end of May.

  • Diversifying Strategies
  • Hedge Funds

Read more: Riding the Wave: Event-Driven Strategies Surge on New Deal Flows

More Articles ...

  1. Reaching for Returns in Real Estate Debt
  2. From Laggards to Leaders? Hedge Funds Slowly Embrace ESG
  3. Nordic and Dutch Investors Drive Impact Innovations
  4. Low Vol Troubles Highlight Active Manager Approaches
  • 5
  • 6
  • 7
  • 8
  • 9
  • 10
  • 11
  • 12
  • 13
  • 14

Page 10 of 16

Newsletter Sign-Up

Get the latest insights from bfinance

Sign up to our newsletter and receive the latest bfinance insights by email.

  Newsletter Sign-up

 

Latest Insights

Portfolio resilience: rethinking the foundations

Portfolio resilience: rethinking the foundations

Manager Intelligence and Market Trends - August 2026

Manager Intelligence and Market Trends - August 2026

Investor Spotlight: KWAP - navigating technological shifts in quant equities

Investor Spotlight: KWAP - navigating technological shifts in quant equities

Investment Management Fees: Pricing pressure in the turbulent twenties

Investment Management Fees: Pricing pressure in the turbulent twenties

Manager Intelligence and Market Trends - May 2026

Manager Intelligence and Market Trends - May 2026

Search insights by 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
LinkedIn
Twitter
Contact Us

Locations

  • Europe
  • North America
  • Asia Pacific
  • Middle East

Legal

  • Important Disclosures
  • Cookie Policy
  • Privacy Policy
  • Terms of Use
Address: 233 S. Wacker Drive 44th Floor, Chicago, IL 60606
Phone: (312) 829-4353
Contact Us: Enquiry Form

Copyright © 2026 bfinance. All Rights Reserved.