Institutional investors have begun taking bets on fledgling funds, which invest heavily in cryptocurrency and blockchain-related companies.
Money manager interest in opportunity zone investment is running high, but fund launches are low to date.
Index investing is passive in name only, a University of Toronto professor argues.
Cash allocations have been drifting upward among money managers as rates increase and returns improve.
The next generation in India is embracing equity funds, a trend that could help a growing swath of money managers achieve profitability.
Changes to the way Sweden's main AP funds may invest have been welcomed by executives.
Private equity and real estate are more correlated with public markets and have fewer volatility differences than investors might think.
Research examining a 90-year sample of stocks finds the majority failed to outperform one-month Treasury bills.
Regulators defuse the explosive growth of e-commerce friendly money market fund's initial manager, even as other managers rush in.
Money managers, central banks and governments are increasingly concerned about the leveraged finance market.
Money managers have had to reposition in emerging markets this year amid elections, economic adjustments and challenging returns.
Currency hedging could help Japan's Government Pension Investment Fund weather a global economic slowdown.
Japan Post Insurance's managing executive officer says a looming slowdown makes this "the best time to buy" U.S. investment-grade bonds.
Bondholders of debt issued by COFINA were cleared by the court overseeing Puerto Rico's bankruptcy to vote on a restructuring agreement.
The promise of alpha and inflows lures asset managers to launch China A-share strategies.
The success of MSCI's initial small-scale A-shares inclusion in its indexes sets the stage for more substantial follow-up.
Journalist Jamal Khashoggi's death is hitting investor sentiment and equity markets in Saudi Arabia over the country's alleged involvement.
Money managers say investors increasingly recognize that traditional stock return prediction techniques must be upgraded.
Indexed assets under management rose 12.9% to $13.36 trillion in the year ended June 30, P&I's annual survey shows.
OPTrust works to balance its climate-change efforts with its investment strategy.
Bond investors who have doubled down on bets against ultra-low sovereign yields could finally see vindication.
Could pasta be developing into an asset class? When it comes to key ingredients in a pasta dish, the idea doesn't seem so far-fetched.
Japan's GPIF tweaked its asset allocation targets to give the pension fund room to further reduce its domestic bond holdings.
South Korea's Public Officials Benefit Association is adding active and liquid exposures to prepare for the eventual end of the bull market.