This content is from: Premium What Drove Third Point’s Disastrous Year Equities weren’t the only strategy that caused Dan Loeb’s hedge fund to post its worst results in 14 years. By Stephen Taub January 10, 2023
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This content is from: Culture The Inside Story of How Wellington and Vanguard Became Partners In an excerpt from his most recent book, Charles Ellis writes about one of the founding tales of the asset management industry — and why it still matters. By Charles Ellis February 24, 2023
This content is from: Research Energy: Master Limited Partnerships 2010 Third Richard Gross of Barclays Capital falls from No. 1 to No. 3, but he earns praise for having “a deeper understanding of the science behind the numbers,” as one buy-side loyalist puts it. By Joshua Pasanisi September 30, 2010
This content is from: Research Energy: Master Limited Partnerships 2010 Second Leaping from runner-up to second place is Stephen Maresca of Morgan Stanley, who “has a knack for identifying the right catalyst at the right time,” according to one portfolio manager. By Joshua Pasanisi September 30, 2010