Natixis Global Asset Management Survey Reveals Institutional Investors’ Attitudes Towards Market Volatility, Risk Management, Portfolio Construction, Investment Concerns, Alternative Investments and Investment Priorities

On September 25, 2012, Natixis Global Asset Management, S.A. published the results of its survey of 482 large institutional investors from 13 countries to ascertain their views on various topics, including volatility in financial markets; approaches to risk management; alternative investments; sources of investment concerns; financial regulation; and investment priorities for the next 12 months.  This article describes the survey results.

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