by GRMAAnalyst | Feb 26, 2019 | Uncategorized
By Bruce Frumerman & Samuel K. Won (Excerpted from an article co-authored by Sam Won) As Global Risk Management Advisors counsels, there are four sets of portfolio management-related risk management questions that prospective investors delve into that hedge fund...
by GRMAAnalyst | Feb 26, 2019 | Uncategorized
By Simone Foxman February 11, 2015 For almost two decades, David Einhorn has told clients he would aim for annual investment returns of 20 percent. The hedge fund manager has largely delivered with some of the best performance in money management. Times...
by GRMAAnalyst | Feb 26, 2019 | Uncategorized
With an average of 25 years’ of front-line experience at top global financial and asset management institutions, GRMA has a team of well-recognized thought leaders and practitioners in risk management. What distinguishes GRMA from other risk service providers is that...
by GRMAAnalyst | Feb 26, 2019 | Uncategorized
By Samuel K. Won and Simon Whiteside To view the full PDF of the article, please click here. The Alternative Investment Fund Managers Directive (AIFMD) continues to dominate discussions on global hedge fund regulation, marketing, remuneration, risk, reporting and...
by GRMAAnalyst | Feb 26, 2019 | Uncategorized
December 18, 2014 Major Risk Related Regulatory Developments for 2015 In planning for 2015, we want to bring to your attention some recent and significant regulatory developments that all funds must bear in mind to ensure that your risk-related regulatory...
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