• Home
  •  
    Risk management
    • FRTB
    • Accounting
    • CCPs
    • Operational risk
    • SMA
    • Three lines of defence
    • Commentary
    • Features for you
  •  
    Derivatives
    • Structured Products
    • Valuation adjustments (XVAs)
    • Electronic trading
    • Features for you
  •  
    Regulation
    • CCPs
    • IRB
    • Brexit
    • FRTB
    • Features for you
  •  
    Commodities
    • Energy
    • Oil
    • Gas
    • Power
    • Position limits
    • Mifid II
    • Manipulation
    • Commodity investing
    • Features for you
  •  
    Asset management
    • Insurance
    • Repo squeeze
    • Liquidity risk
    • Solvency II
    • Insurance awards
    • FoHF awards
    • Features for you
  •  
    Cutting Edge
    • Investments
    • Energy
    • Banking
    • Views
    • Submit a paper
  • Journals
  • Events
  • Awards
  • White papers
  • Research
  • Books
  • Newsletters
  • Sign in
  • Events
    • Upcoming events
      event logo
      Structured Products Asia 2016

      Structured Products is proud to present its 12th annual Structured Products Asia, celebrating a decade of excellence in delivering invaluable insights and networking opportunities for product issuers, distributors and investors in Asia.

      • Date: 30 Aug 2016
      • Hong Kong
      event logo
      FX Week Asia

      FX Week Asia is returning to Singapore in August 2016, where FX traders and other FX industry leaders will discuss the most pressing questions facing the market. FX Week is perfectly positioned to offer the most comprehensive program to create a platform for industry participants.

      • Date: 31 Aug 2016
      • The Westin Singapore Third Floor 12 Marina View Asia Square Tower 2 Singapore 018961, Singapore
      event logo
      RiskHedge Europe

      Bringing together Europe's leading thinkers on risk and portfolio management, this concise, one-day conference will take place on 13th September, 2016 in London.

      • Date: 13 Sep 2016
      • The Waldorf Hilton, LONDON ALDWYCH LONDON WC2B 4DD UNITED KINGDOM , London
      event logo
      Family Office Leadership Summit

      The 9th annual Family Office Leadership Summit will be held at the Marriott Grosvenor Square in London on Tuesday 20th September 2016. Year on year, Family Office Leadership Summit provides an excellent opportunity for networking and best practice sharing among the global family office community.

      • Date: 20 Sep 2016
      • London Marriott Hotel Grosvenor Square, London W1K 6JP, London
      View all events
      Training

      View our latest in market leading training courses, both public and in-house

      View training courses
  • Awards
    • Upcoming awards
      event logo
      Structured Products Awards Asia

      Structured Products Awards Asia

      • Date: 30 Aug 2016
      • Central
      event logo
      Asia Risk Awards

      This is the 17th year of Asia Risk Awards, which recognise best practice in risk management and derivatives use by banks and financial institutions around the region. Following last year's raging success the awards ceremony will again take place in Singapore on 6 October.

      • Date: 06 Oct 2016
      • Singapore
      event logo
      Custody Risk Awards

      The Custody Risk Global Awards combine the Custody Risk Americas Awards and Custody Risk European Awards - plus add Asian coverage - to create an event that builds on the increasing interconnectivity in the worlds of custody, fund administration and securities services.

      • Date: 10 Nov 2016
      • London
      event logo
      European Fund of Hedge Funds Awards 2016

      The Hedge Funds Review European Fund of Hedge Funds Awards remain the only signature event held exclusively for the European fund of hedge funds sector and as such continues to attract the top names from the industry.

      • Date: 17 Nov 2016
      • TBC, London
      View all awards
      Risk Events

      Take a look at the wide variety of events and training on offer

      View all events
  • White papers
    • Latest white papers
      Implementing-ifrs-widget-cover-120x194
      Implementing an IFRS 9 Solution: Challenges Faced by Financial Institutions

      This white paper provides an overview of the new standard and analyses the major challenges financial institutions will face in ensuring compliance.

      Download
      Udm-widget-cover-120x194
      Adopting a Universal Data Model

      This white paper looks at the challenges of addressing multiple regulatory requirements while striving for increased profitability.

      Download
      Find white papers
      Search by title or subject area
      View all white papers
  • Research
    • Latest Research
      RiskTech100® 2016

      Now in its 10th year, the RiskTech100 is globally acknowledged as the most comprehensive study of the world's most significant risk and compliance technology companies. This report covers the key market trends and ranks the top 100 technology vendors in this sector.

      Read more
      Buy-Side Risk Management Technology 2015

      Asset managers continue to face a rapidly changing operating environment. This report updates our earlier research on the current trends in buy-side risk management technology.

      Read more
      About Chartis Research
      Chartis is the leading provider of research and analysis on the global market for risk technology and is part of Incisive Media.
      View all research
  • Books
    • Latest Risk Books
      Cpastu-ccar-3dnew100
      Capital Planning and Stress Testing under CCAR

      Edited By Lourenco Miranda

      Buy now
      Landmarks-in-xva-3dnew100
      Landmarks in XVA: From Counterparty Risk to Funding Costs and Capital

      Edited By Dr. Chris Kenyon and Dr Andrew Green

      Buy now
      Stress-testing-book
      Network Theory and Financial Risk

      Edited By Kimmo Soramäki and Samantha Cook

      Buy now
      About Risk Books
      With more than 180 titles, Risk Books has been a world leader on risk management and the financial markets for over 20 years.
      View all books
  • Jobs
    • Find appointments
      Search by job title, salary, or location
      Get new jobs via email

      Don't miss out on new jobs

      Sign up

      Job of the week
      Raphaels-bank-tl
      HEAD OF REGULATORY RISK

      The successful candidate will provide the division with appropriate regulatory risk guidance and oversight for its business operations and to work as part of the first line of defence within the Bank’s risk governance framework.

      Competitive salary and benefits, Southampton

      Latest opportunities
      MW Appointments: Risk,Insurance & Compliance Officer

      £30000.00 - £35000.00 per annum + excellent benefits: MW Appointments: Risk & Insurance Officer (in-house) An exciting opportunity for a risk and insurance specialist to join the in-house team of a vibrant and creati... London (Greater)

      Oliver James Associates: Senior Business Intelligence & Analytics Advisor

      £50000 - £55000 per annum + Bonus, pension, benefits: Oliver James Associates: Oliver James Associates are manadated to support their tier one client in finding two Senior Business Intelligence & Analytics Advisors. The positions can be based in either Leeds or Manchester and pay up to £50,000 plus extras. England, West Yorkshire, Leeds

      View all jobs
  • Sign in
    • You are currently accessing Risk.net via your Enterprise account.

      If you already have an account please use the link below to sign in.

      If you have any problems with your access or would like to request an individual access account please contact our customer service team.

      Phone: +44 (0)870 240 8859

      Email: [email protected]

      • Sign in
     
      • Saved articles
      • Newsletters
      • Apps
      • Account details
      • Contact support
      • Sign out
     
  • Follow us
    • RSS
    • Twitter
    • LinkedIn
    • Facebook
    • Newsletters
    • Apps
    • Social Hub
  • Free Trial
  • Subscribe
Risk.net
Risk.net
  • Home
  • Risk management
  • Derivatives
  • Regulation
  • Commodities
  • Asset management
  • Cutting Edge
  • Journals
  • You are currently accessing Risk.net via your Enterprise account.

    If you already have an account please use the link below to sign in.

    If you have any problems with your access or would like to request an individual access account please contact our customer service team.

    Phone: +44 (0)870 240 8859

    Email: [email protected]

    • Sign in
 
    • Saved articles
    • Newsletters
    • Apps
    • Account details
    • Contact support
    • Sign out
 
Risk.net
  • Hedge Funds

Eurekahedge data on individual hedge fund and FoHF performance

number-pic
  • Eurekahedge
  • 02 August 2016
  • Tweet  
  • Facebook  
  • LinkedIn  
  • Google plus  
  • Save this article  
  • Send to  

Statistics September 2016 (PDF) Statistics July 2016 (PDF) Statistics June 2016 (PDF) Statistics May 2016 (PDF) Statistics April 2016 (PDF) Statistics March 2016 (PDF) Statistics February 2016 (PDF) Statistics December 2015 (PDF) Statistics November 2015 (PDF) Statistics October 2015 (PDF) Statistics September 2015 (PDF) Statistics July 2015 (PDF) Statistics June 2015 (PDF) Statistics May 2015 (PDF) Statistics April 2015 (PDF) Statistics March 2015 (PDF) Statistics...

To continue reading...

Sign In

Export Load
Forgot your password?

For assistance please contact our customer service team
Phone: +44 (0)1858 438 800
Email: [email protected]

Start a Risk.net Business Trial

Register for a Risk.net Business trial to access this article. Sign up today and get access to:

  • 7 days access to news, analysis & features
  • The Risk.net Live app
  • 7 magazine apps
  • Tailored email news alerts

Start Trial

Previously trialled? Subscribe now

More on Hedge Funds

stock-magnify
  • Fund of funds
FoHFs – shrinking without trace?
  • 04 Aug 2016
data-light
  • Hedge Funds
Intraday data does not improve daily VAR, research suggests
  • 30 Jun 2016
sine wave
  • Hedge Funds
Analysing exposure and risk in the 30 largest hedge funds
  • 17 Jun 2016
Data security
  • Hedge Funds
Myths and realities of cyber security
  • 16 Jun 2016
  • Energy
Ex-Citi oil options head enjoys the hedge fund life
  • 04 May 2016
  • Hedge Funds
Alternative assets under administration fall – survey
  • 03 May 2016
  • Hedge Funds
Banks pushing Eurex to allow hedge funds into cleared repo
  • 18 Apr 2016
  • Hedge Funds
Managed futures funds outshine macro peers
  • 08 Apr 2016

7 days in 60 seconds

clock
Swaps margining, negative interest and repacks unpacked

The week on Risk.net, August 19-25, 2016

Receive this by email

Most read on Risk.net

  1. Banks prepare for bumpy ride as margin deadline looms
  2. SGX to charge negative interest to clearing members
  3. Dealers grapple with netting valuation adjustments
  4. Macroeconomic theories: not even wrong
  5. Matching adjustment repack structures revealed
Back to Top
  • Contact us
  • Advertising
  • About Incisive Media
  • Terms and conditions
  • Privacy and cookie policy
  • RSS
  • Twitter
  • LinkedIn
  • Newsletters
  • Facebook
  • Apps
© Incisive Media 2016

© Incisive Risk Information (IP) Limited, Published by Incisive Risk Information Limited, Haymarket House, 28-29 Haymarket, London SW1Y 4RX, are companies registered in England and Wales with company registration numbers 9232733 & 9232652

Digital publisher of the year 2010, 2013 & 2016

Digital publisher of the year 2010, 2013 & 2016