Tag: Structured funds
French manager debuts ESG label, tracks Paris-aligned index
Europe | Products
15 Sep 2022 by Marc Wolterink
The company’s structured fund is the first in France to obtain the Towards Sustainability label.
Slowly but surely – the unstoppable Blockchain
International | Technology
09 Sep 2022 by Pablo Conde
Distributed ledgers, blockchains and smart contracts are posed to have a transformational effect in business, government and society, but also in the structured products market.
Ninepoint: an alternative to principal-at-risk structured notes
North America | Products
05 Jul 2022 by SRP News
The newly launched Canadian fund reproduces exposure to autocalls by creating a ladder put selling strategy on various equity indices.
KBC returns to the market with 100% capital protection
Europe | Products
09 Jun 2022 by Marc Wolterink
The bank insurer launched its first structured product in Belgium in almost a year.
Funds of structured products (part 2): no place to hide
Europe | Products
01 Jun 2022 by Marc Wolterink
SRP did the rounds to see how the various funds of structured products coped with the negative sentiment in the equity markets in April.
Funds of structured products: dealing with inflation, rising interest rates, and the Ukraine invasion
Europe | Products
10 Mar 2022 by Marc Wolterink
SRP looked at nine funds, including structures from the Netherlands, Ireland and the UK, to see how they coped with the market volatility during the start of the year.
Capital-protected funds: the odd one out as sector prospers
Europe | Products
26 Oct 2021 by SRP News
Net assets of publicly offered funds in Belgium reached a record amount of almost €260 billion in the second quarter of 2021, despite the negative performance of funds with capital protection.
Belgium Market Review, July 2021: volumes drop by 67% YoY
Europe | Market Reviews
23 Aug 2021 by Marc Wolterink
Nine products had strike dates in Belgium in July.
US DoJ probes Allianz funds
North America | Regulations & Legal
13 Aug 2021 by Lavanya Nair
The investment management firm admits there is a risk that matters could affect future financial results.