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Benefits of actively managed portfolios to remain important as the bull market narrows, says Lyxor R...

During the first quarter, risky assets’ bounce off last October lows has been remarkable. Much of the recent euphoria reflects the progress made on the policy front. The ECB’s long term refinancing op...

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AII Barometer : Less hurdles, more dispersion for hedge funds in the first quarter

During the first quarter of 2012, the Lyxor Hedge Fund Index is up 1.5% (-0.5% in March), characterized by increased dispersion among Hedge Fund strategies in March.

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The risk of the European sovereign debt crisis could have been reduced by 30%, says Lyxor’s Risk Bud...

Traditional bond indexing has suffered severe criticism since the European debt crisis. Lyxor Asset Management proposes strategies designed to mitigate the impact of such events.

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Lyxor Asset Management and FT Business present Hedge Fund Insights 2012

Lyxor Asset Management and FT Business present Hedge Fund Insights 2012, a series of briefings providing information and analysis on the future of hedge fund investment.

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Dynamic Risk Management to Mitigate Downside Risk Efficiently

Over the last decade, investors turned to alternative investment strategies in order to improve the resilience of their portfolio in stressed market conditions. Lyxor Asset Management’s latest Resea...

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Solvency II could be a Unique Opportunity for Hedge Fund Strategies, latest Lyxor Research shows

There is growing empirical evidence that the complexity of financial markets makes it increasingly challenging for institutional investors to manage their asset/liability profiles efficiently.

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