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Hedge Funds: Rebuilding on a New Foundation

Institutional investors once preoccupied largely with fund performance now take great interest in the manner by which hedge funds manage operational infrastructure, choose administrators and provide governance centered on best practices.  Bearing this in mind, the hedge fund industry is reinventing business models and best practices, with investor-friendly policies designed to enhance fund transparency, liquidity

Reaping the Rewards of UCITS Pooling

The introduction of master-feeder pooling as part of the UCITS IV directive is set to spark wider interest in the concept of pooling, and this Vision paper examines the various options available to asset managers as they seek to build efficient and scalable fund structures. Click here to download the report

The Specter of Rising Interest Rates

After the 2008 financial crisis, global central banks flooded the financial markets with liquidity to restore stability and set the stage for economic recovery. But these actions also raised investor concerns about inflation and fixed income investments. In the accompanying paper, “The Specter of Rising Interest Rates,” Northern Trust’s Jim McDonald discusses the current situation

Next-Generation Outsourcing for Wealth Managers: Riding the Wave of Converging Business Trends

For wealth managers, major industry trends are transforming the old concept of outsourcing into a fundamentally new way of delivering services, with advancing technology rapidly coming on-stream to weave together client and third-party provider relationships. Now, outsourcing is rapidly gaining traction as wealth managers are taking a longer look at how leveraging external resources can

Derivatives: How will the New US and EU Regulations Affect the Asia Pacific Region

The global financial services industry during 2011 faces active rulemaking and a myriad of changes in derivatives regulations from the United States and European Union. For financial firms operating in the Asia-Pacific region, the effects of these proposed regulatory changes on derivatives markets are particularly unclear. This article touches on some of the most-pressing concerns

Systemic Risk: Strategic Challenges for Policymakers and Practitioners

Systemic risk has emerged as a critical challenge for central bankers, regulators, asset owners and managers. While the infuence of the phenomenon is well-understood, systemic risk is often virtually invisible until it erupts into widespread market dislocation. New regulatory standards, oversight bodies and quantitative research approaches seek to moderate its infuence and stabilise global markets.