The rebound in equity and credit benefitted some hedge funds but negatively affected Trend following strategies.
The outlook for alpha driven alternatives looks more attractive in our view as we enter the increasing uncertainty of 2019.
The rise in risk free rates, higher ambient volatility and increased stock bond correlation have created a new complex environment
The return of elevated volatility to global equity markets marked the worst December return for the S&P 500 Index since 1931.
The turbulent environment for active management continued from October into November, with further losses across the hedge fund universe.
Man FRM provides a strategic outlook on global financial markets and broad hedge fund performance for the previous quarter.
Read the latest Man FRM Investment Strategy update from Q3 2018.
Read the latest Man FRM Investment Strategy update from Q2 2018.
Articles and Videos
The new Brexit deadline is 31 October, 2019 – six months away. Does the extension mean more or less support for the deal?
With three days to go until the new Brexit deadline, the UK still cannot agree on what it wants.
Too little too late? Here’s an update on developments in Westminster and its implications for the asset-management industry.