Risk.Net Investing
@RiskNet_AMFocused on the investment management community. Coverage is concentrated across: risk management; regulation; derivatives; markets; and quantitative investing
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@ldelevingne
Risk's inaugural Dealer Rankings uses a wealth of hard data to shine a light on the derivatives market's hidden pecking order. Come and dive in... hubs.li/Q01Wm1BY0
Man Group partners with climate think-tank to develop a tool to guide decisions about investing in ‘real-world’ decarbonisation projects hubs.ly/Q02XY19c0
“The way we combined SI and Nexus is a massive growth opportunity for us. With hedge fund inflows, we see more growth in this business than hedge funds doing options on QIS – Arnaud Jobert, JP Morgan hubs.li/Q02XJxhh0
Diverging court rulings show pitfalls and potential of challenging controversial LME transactions hubs.li/Q02XvGLH0
Dealers say the extended period of volatility they expected after the US election failed to materialise with Donald Trump and the Republican Party’s resounding victory hubs.li/Q02XjF9V0
We look at how five firms are approaching the crowding risks posed by the US tech sector hubs.li/Q02W-yQQ0
Free to read: Rob Mannix on the macro risks that may ‘rear their ugly head’ hubs.li/Q02VZdP80
Increasing momentum-based trading in EGBs by hedge funds is raising fears of a potential liquidity squeeze hubs.li/Q02VF1t60
Investors generally avoiding putting on specific US election-related trades, or positioning themselves for the election result. hubs.li/Q02TNnVJ0
BofA and Newton’s ‘all-weather’ strategy aims to offer protection against an array of market downturn scenarios hubs.li/Q02SLbj-0
BNPP and Barclays are the only European-based dealers attracting competitive notional volume in a market otherwise dominated by US rivals hubs.li/Q02S9dqt0
Asset manager sees opportunities in under-served niche in private credit hubs.li/Q02RQbMm0
ABS head at TwentyFour Asset Management warns of a market struggling to absorb issuance central banks are no longer taking down. hubs.li/Q02Rl7-g0
New data shows Citi dominated trading in uncleared index credit default swaps at European retail funds last year hubs.li/Q02R2X2Z0
The costs for insurers swapping back their USD investments into GBP have started to outweigh the potential pick-up from investing in US credit hubs.li/Q02QV3Gl0
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Who to follow
-
Bloomberg Work Shift
@thefuture -
Hedge Fund Focus
@hedgefundfocus -
HFR
@HFRinc -
CAIA Association
@CAIAAssociation -
Hedge Fund Association
@HedgeFundAssoc -
MFA
@MFAupdates -
Risk.Net Markets
@RiskNet_DER -
dealbreaker
@dealbreaker -
Risk.Net
@RiskDotNet -
FundFire
@FundFire -
Portfolio for the Future | CAIA Association Blog
@CAIA_Blog -
Opalesque
@Opalesque -
AIMA
@AIMA_org -
Risk.Net Risk Mgmt
@RiskNet_RM -
Lawrence Delevingne
@ldelevingne
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