Fin matters

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Identifying Fund Manager Gender Using Demographics

Research challenges were the topic of this recent post. Today, we want to give you some insight into how you can address the challenge of identifying fund manager gender using demographics information!

Better Double-Safe than Sorry? CDS Counterparty Risk Mitigation

In a recent post, we discussed the Oehmke and Zawadowski (2017) paper. The authors identify hedging, speculation, and arbitrage as the main CDS trading motives. We now zoom in on one of these motives: hedging. The article “Mitigating Counterparty Risk”… Continue Reading →

No Early Weekends: Busting the Friday Effect Myth

They say a Friday can make or break your stardom in Hollywood. However, in the world of financial markets, Fridays are slow – or at least appear to be. In a previous post, we looked into how firms hide bad… Continue Reading →

Hiding Bad News Is Easy When Investors Pay No Attention!

Who doesn’t love the spotlight? Like (almost) everyone else, CEOs like public attention. But what about times when firms have to release bad news? Then, CEOs, and management in general, may be glad of low attention in the markets. If… Continue Reading →

Research Challenge – Identifying Fund Manager Gender

Today, we want to give you a bit of insight in our day-to-day work. In our department, we explore gender issues in asset management – check out our essential readings on the topic. The first step is, obviously, to correctly… Continue Reading →

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