capula investment management strategy - Axtarish в Google
Capula is a global investment manager focused on innovative strategies that aim to exhibit low or negative correlation to traditional equity and fixed income ...
The firm employs a range of fixed-income strategies, including duration management, yield curve positioning, relative value trading, and credit spread arbitrage ...
We aim to generate consistent returns over the market cycle whilst preserving capital and minimising losses.
Capula Investment Management LLP is a global fixed income specialist firm managing absolute return, enhanced fixed income, macro, and crisis alpha strategies.
Capula Investment Management LLP is a British hedge fund ... The firm manages absolute return, enhanced fixed income, macro and crisis alpha strategies.
6 апр. 2023 г. · The London-based hedge fund focuses on fixed income, macro, and crisis alpha strategies, all of which should have stood it in good stead for 2022.
Headquartered in London, the firm manages absolute return, enhanced fixed income, macro and crisis alpha strategies.
Established in 2005, Capula Investment Management LLP focuses on developing innovative investment strategies that exhibit low correlation to traditional equity ...
4 февр. 2019 г. · Capula launches 2022 strategy and announces leadership change · Doubling the size of the business by 2022 · Continued investment in innovation ...
The firm specializes in managing absolute return, enhanced fixed income, macro, and crisis alpha strategies. Since its establishment in 2005, Capula Investment ...
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