Insights Archive
2003 | 2002 | Back
Russian Crises and Emerging Market Debt
November 2003
We examine the impact of Russian political events on the emerging markets.
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Mutual Fund Timing and the Impact of Recent Regulatory Action on the Traditional and Hedge Fund Industries
September 2003
We define mutual fund timing, identify recent regulatory actions, and describe the implication for the traditional and hedge fund asset management industry.
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Changes in the Corporate Bond Market; An Investor's Perspective
April 2003
The corporate bond market suffered extreme volatility in 2003. As a result of structural changes in domestic bond markets, we examine how and why institutional investors will bear more credit risk than they have historically and what they must consider when examining the volatility of their investment portfolios.
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Why High Yield, Why Now?
February 2003
We examine the explosion in the high yield market and why the asset class is compelling as part of a total portfolio.
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Mean Reversion
January 2003
Although highly anticipated, worldwide economic recovery remained elusive. Equity markets around the world disappointed, bond markets rallied, and yields fell to historically low levels. We provide a review of how the markets performed in 2002.
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2002: A Disappointing Period for Hedge Fund of Funds
December 2002
We examine how volatility, liquidity, credit spreads, and poor equity market performance impacted major hedge fund strategies used by most hedge fund of funds.
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