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Hedge Funds & Derivatives Risk 2015
Hedge Funds & Derivatives Risk 2015

Thu, 15/10/2015 - 11:36

The 'Hedge Funds & Derivatives Risk 2015' special report comprises 7 separate articles listed below, these can be read individually or as a sequence.

James Williams, Hedgeweek

How to make risk management more strategic

Thu, 15/10/2015 - 11:45

One aspect to operational risk, which can have a meaningful impact on performance, not to mention the integrity of the manager, is valuations. According to Deutsche Bank's Global Prime Finance group's third annual Operational Due Diligence Survey, asset valuation is in sharp focus for 38 per cent of investors surveyed. Unilaterally, respondents said they would review a fund's valuation policy during their ODD review whilst 78 per cent stated they would verify the valuation procedure during the on-site review.  »

Alan Picone, Kinetic Partners

AIFMD and the mutation of risk management

Wed, 21/10/2015 - 14:49

Risk managers are making a more conscious effort to not only understand the virtues, but also the limitations, to risk models as they adjust to life under greater regulatory scrutiny, in particular the AIFM Directive in Europe. »

Kristin Castellanos, Deutsche Bank

ODD comes under the microscope

Thu, 15/10/2015 - 11:55

Operational Due Diligence (ODD) has become increasingly important across the alternative investment industry and more resources and attention are being placed on this function. This was one of the main findings from a session on ODD at the recent Global Alternative Investment Management (GAIM) Ops Conference in the Cayman Islands. »

Chris Kundro, Wells Fargo

A new view into hedge fund operational risk

Thu, 15/10/2015 - 11:59

By Chris Kundro, Wells Fargo Global Fund Services – There are many professionals, both internal and external to a fund manager, who play an important role in controlling a fund's operational infrastructure and mitigating a fund's operational risk. COOs, CFOs, and CCOs manage the functions necessary to support a hedge fund, while fund directors, auditors, and operational risk analysts ensure that a hedge fund's infrastructure is sound and secure. »

James Williams, Hedgeweek

Will regulation help or hinder derivatives risk management?

Thu, 15/10/2015 - 12:03

Managing derivatives risk in the portfolio is a demanding task at the best of times. But as global regulators make inroads to drive transparency in OTC markets, managers find themselves having to file detailed risk positions under CFTC regulations in the US, EMIR reporting in Europe, not to mention the unnecessarily dense Annex IV report under AIFMD.  »

Ittai Korin, PortfolioScience

A fully hosted and customisable risk solution

Thu, 15/10/2015 - 12:07

The RiskAPI service, developed by PortfolioScience, is a fully hosted and customisable risk solution that integrates seamlessly with existing applications and programming frameworks to generate risk calculations for multi-asset, multi-currency portfolios and individual positions. It is available as both an Enterprise software API and an Excel Add-In. »

Martin Toyer. TFG

Delivering real-time risk that reflects the speed of the market

Thu, 15/10/2015 - 12:12

The markets have experienced significant volatility in the last few months. China's decision to devalue its currency, the collapse of commodity prices and the uncertainty caused by global quantitative easing have all caused significant disruption to financial markets. In August, all three major equity indices in the US suffered their biggest losses since 2011.     »

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Thu, 12/Nov/2015 - 16:37

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Fri, 23/Oct/2015 - 11:24

Hedge Funds & Derivatives Risk 2015

Thu, 15/Oct/2015 - 11:36

US Hedge Fund Services 2015

Wed, 30/Sep/2015 - 11:21

Global Head of Macro Risk - International Asset Manager

Sat, 28 Nov 2015 00:00:00 GMT

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