We explain why such an approach may not be warranted this year for investors in emerging market currencies.
Article examining the economic effects and investment implications of the US fiscal cliff agreement
Hedged equity (or options overlay) strategies can provide higher risk-adjusted returns over broad-based equity indexes, in part by using options to minimize the impact of market disruptions and downturns.
The insurers' moment: Credit lending after the crisis
A strategic framework for building a private credit portfolio
Currency movements based onbrexit's outcome.
Themes and implications from the Global Equities Investors Quarterly
Themes from the quarterly Quantitative Beta Research Summit
Dr. David Kelly and Ainsley Woolridge discuss how raising rates from a low level can boost economic growth
Shifts in global regulations will alter the insurance industry worldwide. Read more