White Papers

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Equity Attribution Insight
StatPro Group plc, 4 May 2015

Nasdaq Asia ex Japan Dividend Achievers
Nasdaq Global Indexes, 9 April 2015

The Nasdaq-100 Turns 30: Tracking Innovation in Large-Cap Growth
Nasdaq Global Indexes, 27 March 2015

Hedge fund technology: Competitive Advantage for Tomorrow
StatPro Group plc, 13 February 2015

Hedge Fund Trends and Challenges: Achieving Institutional Credibility (PDF, 325KB)
Aite Group, 17 September 2013

Emerging Markets Watch: Myanmar (PDF, 402KB)
Kroll Advisory Solutions, 27 June 2013

Survival of the Fittest Part III - Wish You Were Here (PDF, 201KB)
Fidessa, 6 June 2013

Macro Weekly - Not so magnificent seven (PDF, 206KB)
ABN AMRO, 18 February 2013

Macro Focus - Funding for lending: the QE alternative? (PDF, 133KB)
ABN AMRO, 15 February 2013

Global Economic Forecasts (PDF, 97KB)
ABN AMRO, 15 February 2013

Latin America Watch - Appreciation pressures (PDF, 113KB)
ABN AMRO, 14 February 2013

FX Monthly - A currency pea shoot (PDF, 315KB)
ABN AMRO, 14 February 2013

Indonesia’s Turn to Shine (PDF, 136KB)
Yishan Capital Partners, October 2012

The Limits to Arbitrage Revisited: The Low Risk Anomaly (PDF, 159KB)
Xi Li, Rodney N. Sullivan, CFA, Luis Garcia-Feijoo, 4 February 2012

Investing in Credit: Smart Beta or Dumb Beta? (PDF, 244KB)
AXA Investment Managers, May 2012

A Dynamic Future for Active Quant Investing (PDF, 177KB)
Xi Li, Rodney N. Sullivan, Spring 2011

Post-trade Integration in the ASEAN – Challenges and Opportunities (PDF, 2MB)
Deutsche Bank, January 2013

Achieving Strategic Transformation from High-end Outsourcing (PDF, 704KB)
Amba Research, August 2012

The Global Sustainable Competitiveness Index (PDF, 6MB)
SolAbility, May 2012

Emerging Markets Bonds and Currencies: Opportunities Amid Globalisation? (PDF, 91KB)
By Peter Marber, Chief Business Strategist for Emerging Markets Debt and Currencies, HSBC Global Asset Management, May 2012

Lyxor Research Flash - Benefits of Dynamic Risk (PDF, 321KB)
By Lyxor Asset Management - Lyxor's Research Paper on the benefits of dynamic risk management, February 2012
The paper is entitled: The Benefits of Dynamic Risk Management: Mitigating Downside Risk Without Compromising Long-Term Growth Prospects
You may access the full paper with the following link: http://papers.ssrn.com/sol3/papers.cfm?abstract_id=1947080

RMB bonds under the spotlight (PDF, 69KB)
By Joanna Munro, Chief Executive Officer, Asia-Pacific, HSBC Global Asset Management, November 2011

Financial risk analysis (PDF, 1.0MB)
Financial risk analysis-exec summary (PDF, 625KB)
BI-SAM, November 2011

An All-Encompassing Approach to Emerging Markets (PDF, 341KB)
AllianceBernstein, October 2011

InvestmentView (PDF, 29KB)
ING Investment Management Asia Pacific, August 2011

Flash Note (PDF, 282KB)
BNP Paribas Investment Partners, August 2011

QuickView (PDF, 296KB)
Schroders, August 2011

Houseview (PDF, 99KB)
ING Investment Management Asia Pacific, August 2011

Expert Opinions (PDF, 1.2MB)
SG CIB, July 2011

Global Markets Outlook (PDF, 510KB)
MFS Investment Management, July 2011

By BEA Union Investment, June 2011

Who let the Tigers Out? (PDF, 4MB)
By HSBC Global Asset Management, May 2011

Allocating to Environmental Equities (PDF, 93KB)
By Impax Asset Management, April 2011

Risk off again? What flicked the switch? (PDF, 92KB)
By HSBC Global Asset Management, February 2011

Investment Governance - enhancing the value chain (PDF, 5MB)
By Towers Watson, September 2010