2012 Downloads

Risques et Chaos: vers une approche alternative de la gestion d'actifs

Alexandre Cegarra, CFA, CAIA, CIO, Société Générale Bank & Trust (352 Ko)

How does the commodities market work?

Guillaume Picot, Global Head of Investment Derivatives Group, Commodity Derivatives, BNP Paribas Corporate & Investment Banking (1 Mo)

Risk ON - Risk OFF : How to navigate and select funds in troubled waters?

Moyse Dargaa, Managing Director, BNP Paribas Real Estate Investment Management (648 Ko)

What are stockmarkets saying about real estate’s prospects in the US, Europe and Asia? And are they right?

Patrick Sumner, Head of Property Equity, Henderson Global Investors (936 Ko)

A Balanced-Risk Approach to Portfolio Construction

Christian Ulrich, Portfolio Manager, Invesco Global Asset Allocation (756 Ko)

Risk ON - Risk OFF : How to navigate and select funds in troubled waters?

Laurent Gorgemans, CFA, Head Multi-Managers, Dexia Asset Management (508 Ko)

Low Volatility Equity Investing: Capturing the low-risk anomaly in a smart way

Maarten Polfliet, Client Portfolio Manager Quantitative Equities, Robeco (871 Ko)

Fixed income - a look ahead to 2012

Colin Finlayson, Investment Manager, Fixed Income, Kames Capital (1 Mo)

Dividendes: comment investir sur cette thématique

Ludovic Dufour, Gérant Allocation d’Actifs, Edmond de Rothschild Asset Management (2 Mo)