«The currency is under pressure, people are «shorting» it like crazy — I think there's huge upside there,» Shing, global head of
equity derivative strategy at the French bank, told CNBC Wednesday.
Not exact matches
Lucky for them, the
equity derivatives team at JPMorgan has an options
strategy that they think is the ideal way to play these uncertain conditions.
Our Global Market
Strategies segment, established in 1999 with our first high yield fund, advises a group of 46 active funds that pursue investment opportunities across various types of credit, equities and alternative instruments, including bank loans, high yield debt, structured credit products, distressed debt, corporate mezzanine, energy mezzanine opportunities and long / short high - grade and high - yield credit instruments, emerging markets equities, and (with regards to certain macroeconomic strategies) currencies, commodities and interest rate products and their de
Strategies segment, established in 1999 with our first high yield fund, advises a group of 46 active funds that pursue investment opportunities across various types of credit,
equities and alternative instruments, including bank loans, high yield debt, structured credit products, distressed debt, corporate mezzanine, energy mezzanine opportunities and long / short high - grade and high - yield credit instruments, emerging markets
equities, and (with regards to certain macroeconomic
strategies) currencies, commodities and interest rate products and their de
strategies) currencies, commodities and interest rate products and their
derivatives.
Multi-asset funds may invest in a number of traditional
equity and fixed income
strategies, index - tracking funds, financial
derivatives as well as alternative investments, such as real estate investment trusts (REITs) and commodities.
COMEX synthetic gold and related over-the-counter
derivatives are traded in macro
strategies implemented by hedge funds, HFT's, and commodity funds in pair trades with interest rate, currencies,
equity futures, or even more exotic offsets.
Hedge fund
strategies, such as
Equity Hedge, Event Driven, Macro and Relative Value, may expose investors to the risks associated with the use of short selling, leverage,
derivatives and arbitrage methodologies.
Alternative investment asset classes include real estate, real assets (e.g., commodities, infrastructure) and private
equity, while alternative
strategies primarily consist of hedge
strategies, including use of
derivatives.
Hybrid or multi-asset funds may invest in a number of traditional
equity and fixed income
strategies, index - tracking funds, financial
derivatives as well as alternative investments, such as real estate investment trusts (REITs) and commodities.
Back in 2003, after several years of correspondence, James Cramer invited me to write for the site, and I wrote for RealMoney on
equity and bond portfolio management, macroeconomics,
derivatives, quantitative
strategies, insurance issues, corporate governance, etc..
The fund follows a value oriented
strategy and seeks to achieve its investment objective by investing in
equity and debt securities, money market instruments, and
derivatives.
He writes on
equity and bond portfolio management, macroeconomics,
derivatives, quantitative
strategies, insurance issues, corporate governance, and more.
Back in 2003, after several years of correspondence, James Cramer invited David to write for the site, and write he does — on
equity and bond portfolio management, macroeconomics,
derivatives, quantitative
strategies, insurance issues, corporate governance, and more.
Equity Hedge strategies maintain positions both long and short in primarily equity and equity derivative secur
Equity Hedge
strategies maintain positions both long and short in primarily
equity and equity derivative secur
equity and
equity derivative secur
equity derivative securities.
The fund has a strategic allocation of assets primarily among
equity, fixed - income and alternative (non-traditional) underlying fund investments (largely Franklin Templeton funds) and an income generation
strategy, which will include
derivatives.
Back in 2003, after several years of correspondence, James Cramer invited me to write for the site, and now I write for RealMoney on
equity and bond portfolio management, macroeconomics,
derivatives, quantitative
strategies, insurance issues, corporate governance, etc..
From 1987 until joining Deutsche in 2000, Alex served as Vice President and Division Head at The Bank of New York where he managed the Special Investment Products group which provided investment management, product development, and trading for
equity derivatives and quantitative
strategies.
By harnessing the
derivative trading desk of Sun Life Investment Management, Ryan Labs also offers a variety of overlay capabilities including
equity tail hedging and duration completion
strategies.
Franklin Templeton Global Allocation Fund seeks total return by investing in a diversified portfolio of
equity and fixed income securities supplemented by a tactical investment
strategy, which may include cash and financial
derivative instruments designed to allow the Fund to adjust its exposure to asset classes, geographic regions, currencies and market sectors.
David has more than 25 years of investment experience in broad emerging markets with the majority of his career spent as a trader and portfolio manager allocating across
equity, fixed income, currencies and
derivatives within both long - only and long - short
strategies.