Hedge funds have a place in both traditional and alternative portfolios despite the greatly depleted usefulness of corporate fundamentals in the current environment
Faced with volatile returns through 2020, managers have had to rethink how they assess risk in a bid to boost their resilience against future market drops
The trend reflects a fundamental shift in governance and presents an opportunity for asset managers to better align fund structure to an evolving regulatory environment
Allocations of up to 20% helped Swiss investors through the market dip and increased volatility should mean additional interest in hedge fund strategies