The firm has built a powerful franchise in liability-driven investing. Can it achieve success by bringing its British model to America?
Despite a recent slump, fundamentals seem to be pointing toward a brighter outlook. The risk: The easy money has been made.
The market will eventually restore bond yield. In the meantime, investors should consider broadening their toolkit to include alternatives and private markets.
At today’s Delivering Alpha conference, the hedge fund founder says ‘radical’ central bank policies have inflated a bubble in global bond markets.
Moving on from his role as CEO of British alternative-asset manager Man Group, Roman turns his attention to the troubled bond giant.
Stocks, bonds, commodities rise on Yellen assurances; Brazil’s government hit by more protests; Peabody edges toward bankruptcy.
The Employees Retirement System of Texas and other investors are using the equity markets to trade baskets of bonds.
From cash equivalents to bond ladders, registered investment advisers deploy a variety of strategies to shield client portfolios.
The bank has bolstered its debt and equity underwriting business, thanks to its purchase of a big loan book from RBS.
RIAs are giving a face-lift to the traditional balanced portfolio to maintain its relevance for today’s financial market conditions.