Hedgeweek®'s head of content and research Manas Singh breaks down what actually happened last quarter and what it means for the allocator thesis on hedge funds going into Q2.
Q1 2026 will be defined by the heaviest equity drawdown in four years, the ramifications of the oil whiplash and a macro environment that humbled even the strategies built for exactly this kind of volatility.
Yen carry trade risks mount
Hedge funds and other leveraged investors face renewed risks from the yen carry trade as Japan moves further away from decades of…
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Valour launches first crypto hedge fund using Neuronomics AI strategy
Valour, the digital asset investment products subsidiary of DeFi Technologies, has launched its first hedge fund as it expands beyond…
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SocGen targets strong prime brokerage growth
Societe Generale is planning to significantly expand its prime brokerage business as part of Chief Executive Officer Slawomir Krupa's…
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