Norwegian Sovereign Wealth Fund Warns of ‘Permanent’ Inflation to End the Days of High Returns
Norway’s Sovereign Wealth Fund CEO cautions that 2021 will be the last year of high returns for many years to come.
0% Returns Forecast for the Decade Ahead – Why a Currency Strategy Matters
Bank of America is forecasting flat returns over the next decade. We explore what a sustained depression could mean for passive and active equity strategies by assessing the correlations between numerous ETFs, Hedge Fund Indices, and Risk Premia.
How Tripwires Work In the Market – The Bitcoin Story No One Will Tell You
Since the inception of Bitcoin futures in 2017, there have been allegations of manipulation. We take a closer look at CME cryptocurrency data.
Asset Managers in 2021 & Beyond Need a Dedicated Currency Market Strategy
The currency market is the largest and most liquid market in the world, with an estimated $7 trillion traded a day and growing. Why have so many investors overlooked currency plays, and how are others tilting their portfolios in this era of unprecedented market distortion?