Albourne Partners

Alignment needed in firms' internal infrastructure to deal with regulatory reporting

It is essential managers align their internal infrastructure to ensure consistency across their regulatory reports in the US and EU.

Posted on: 20 Jun, 2014
Posted in: Operational Risk

Barclays study highlights capital raising opportunities in APAC

There could be up to $70 billion in assets up for grabs for hedge funds marketing into Asia-Pacific (APAC), according to a study by Barclays Prime Services Capital Solutions.

Posted on: 28 May, 2014
Posted in: Prime Brokerage

Private investor capital in hedge funds at pre-crisis levels, finds Goldman Sachs survey

Private investor capital managed by hedge funds has returned to levels not seen since 2008, according to a survey of allocators conducted by the capital introductions arm of Goldman Sachs Prime Services.

Posted on: 30 Apr, 2014
Posted in: Prime Brokerage

Towers Watson clients ramp up alternatives exposure

Towers Watson clients invested four times as much capital in alternative investment strategies as they did five years ago.

Posted on: 19 Feb, 2014
Posted in: Investors

COOConnect: Predictions for 2014

In the fifth and final instalment of COOConnect’s series summarising the key events to impact hedge funds in 2013, we look to predict what lies ahead for managers next year.

Predictions for 2014

Posted on: 23 Dec, 2013
Posted in: Investors

Open Protocol sign-ups expected to double by end of 2014

Albourne Partners is expecting the number of hedge fund managers reporting under the Open Protocol Enabling Risk Aggregation (‘Open Protocol’), its risk reporting initiative, to double by Assets under Management (AuM) to around $1.5 trillion by th

Posted on: 17 Dec, 2013
Posted in: Investors

COOConnect Summary of 2013: Part 2

Here is the second instalment of COOConnect’s five part series summarising the key events to impact hedge funds in 2013.

Alternative Investment Fund Managers Directive (AIFMD)

Posted on: 16 Dec, 2013
Posted in: Investors

COOConnect Summary of 2013: Part 1

In the run up to Christmas, COOConnect will be publishing a five-part series summarising the key trends and events to impact the global hedge fund industry in 2013.

Posted on: 13 Dec, 2013
Posted in: Investors

Australian regulator toughens up on hedge funds

Hedge funds might need to re-evaluate whether they accept Australian retail capital following the announcement of tougher disclosure requirements by the Australian Securities & Investments Commission (ASIC).

Posted on: 14 Oct, 2013
Posted in: Regulation

FATCA biggest regulatory challenge for managers, says survey

FATCA ranks as the biggest regulatory challenge for hedge fund managers, according to a study by Sungard, the technology vendor and Aite Group, a consultancy.

Posted on: 09 Sep, 2013
Posted in: Regulation


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