All articles by David Turner – Page 2
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Special Report
Switzerland: Unique challenges
The small size of the stock market hinders the deployment of factor investing in Switzerland
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Features
Derivatives: Pros and cons of central clearing
While there is uncertainty over exemptions for pension funds, compliance with EMIR could bring benefits
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Features
Two sides of the bitcoin
Bitcoin and other cryptocurrencies have attracted as many fans as critics
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Special Report
Buy-side: When less is more
How will the unbundling of research costs affect a saturated market?
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Special Report
EMIR: The costs of compliance
Asset managers have invested heavily in implementing EMIR
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Features
Hybrids: Best of both worlds
Preferred securities offer high coupons and high yields compared with most purebred bonds
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Special Report
Securities lending: Why bond lending is surging
Bonds have become more lucrative and important in securities lending
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Special Report
Turning point for LDI
The prolonged low-interest-rate environment is prompting debate about the future of LDI
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Special Report
A risk-reducing factor
Many factor investors use timing as a way to reduce risks, writes David Turner
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Special Report
Full of EM promise
David Turner finds elements of factor investing that could make the strategy ideal for emerging markets
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Asset Class Reports
Financials regain some lustre
Investors are becoming more positive about financials as they stand to gain from stronger growth and higher inflation, finds David Turner
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Special Report
Special Report: Currency - Behind the strong dollar
Several factors have combined to boost the dollar’s performance, finds David Turner
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Special Report
Safer but less profitable
Europe’s banks no longer seem to face a systemic threat but their profits are meagre. David Turner reports
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Special Report
Bank Credit: Look for the whites of their eyes
David Turner asks whether investors should shun bank credit or be prepared to grasp opportunities
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Features
CEE equities – Middle ground promise
David Turner assesses why Central and Eastern European equities are catching the eye of many investors
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Special Report
Outlook 2016: Euro-Zone Prospects - Trading block to growth
Heavily dependent on external trade, the euro-zone’s growth prospects are particularly linked to the fortunes of China
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Special Report
Credit: Financial Sector High Yield
Since the financial crisis the high-yield universe has been flooded with bank debt, thanks to downgrades and increasing subordinated issuance
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Features
Corporate bonds for the long run
The post-crisis world of bond investing is favouring the ‘new’ old-fashioned approach known as buy-and-maintain credit
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Features
Equity buy-write strategies: A bridge into the equity world for the yield-starved
David Turner explores the potential of ‘buy-writing’ as equity-income enhancer and bonds proxy
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Features
Briefing: Energy Investments, Oil plunge shakes up shale
Seven months of plunging crude prices has devastated cash flow projections of the US’s nascent shale oil production industry. But David Turner finds investors looking for bargains, especially among less-exposed infrastructure providers
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