Inflation, market volatility and geopolitical tensions in Europe took a toll on hedge funds globally in January, with most of the strategies in the red. According to the latest data from eVestment, January’s return is the lowest start to the year since 2016. Strategies have started 2022 on a sour note, with the exception of commodities, macro, alternative risk premia,…
To access this content, please click back to the home screen, then click “Menu” (bars in top left bars) and then “Login”.
To enquire for a free trial, please start here.
Need more help? Click here or email [email protected].
Subscriber Only Content
This article is available on a corporate subscription with Asian Private Banker. Please login or subscribe to view this content.
Need help? Please see our FAQ Guide or email [email protected]