Boutique premium: Why it pays to think small
There have been a number of academic papers that have examined the performance of funds managed by smaller 'boutique' investment houses versus the much larger 'asset gatherers'.
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There have been a number of academic papers that have examined the performance of funds managed by smaller 'boutique' investment houses versus the much larger 'asset gatherers'.
80% of the investment professionals responsible for fund selection and portfolio construction say that investors have taken on too much portfolio risk in a rate environment that has distorted stock values and decimated bond yields, according to new survey findings released today by Natixis Investment Managers.
Press release | February 8, 2022 N° 02 - 2022 SCOR Investment Partners surpasses USD 3 billion of ILS assets under management, reinforcing its position as
The top risks facing global economies are supply chain disruptions, easing central bank policy and new Covid variants.
With the proliferation of ESG-themed funds, the number of third-party ESG ratings providers has grown, too. Yet lack of standardization for methodology can lead to a wide range of scores for the same company. Explore the basic methodology and what the differences could mean to investors.