Posts Tagged "Gestion des risques"

CARMF Nouveau mandat de conseil pour Active Asset Allocation

La Caisse Autonome de Retraite des Médecins de France (CARMF) choisit Active Asset Allocation (AAA) pour conseiller l’allocation par la gestion des

Active Asset Allocation Partners With OFI AM

      Active Asset Allocation partners with OFI AM to advise the bond allocation of the OFI AM Bond Allocation fund,

The AG2R La Mondiale ETHOMED fund has received the 2013 Silver Innovation award from L’Agefi

The AG2R La Mondiale ETHOMED ISR fund has received the 2013 Silver Innovation award from L’Agefi. The fund resulted from the work

Understanding challenges around pension scheme discounting policies

The lively debate around the use of the revised IORP Directive’s Holistic Balance Sheet (HBS) gives us an occasion to provide a

EIFR : European Institute of Financial Regulation

      18 January 2013 – Paris   Conférence à l’EIFR : Gestion des risques comme source inexploitée de performance :

Direction Retraite – la gestion des risques, source inexploitée de performance

          La gestion des risques, centre de coût ou source inexploitée de performance ? Par Adina Grigoriu, Directeur

Risk Control Through Dynamic Core-Satellite Portfolios of ETFs

        Risk Control through Dynamic Core-Satellite Portfolios of ETFs : Applications to absolute Return Funds and Tactical Asset Allocation.

ETF Survey 2010

              The survey highlights the use of ETFs by institutional investors. The introduction of the survey

Risk Control Through Dynamic Core-Satellite Portfolio of ETFs

              Risk Control Through Dynamic Core-Satellite Portfolio of ETFs : Applications to Absolute Return Funds and

Beyond Diversification : Absolute Return Funds of ETFs

        Beyond Diversification : Absolute Return Funds of ETFs, Risk.net More …