Credit risk rating spotlights new opportunities for investors

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A credit default model that improves on conventional credit ratings, involves deep analysis of key financial ratios and gives as much weight to predicting negative events as positive ones, is

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Listed infrastructure securities can deliver diversification

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Omega Global Investors has pointed to the growth and returns of its recently launched Global Listed Infrastructure fund as evidence of the benefits of taking a risk adjusted approach to this

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Fixed income sees a fundamental shift to the East

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The long awaited decoupling of the Asian and European markets earlier this year has seen Asian corporate bonds cementing their appeal with investors, according to specialist fixed income investment manager,

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New research zeroes in on safest sovereigns, reliable returns

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New research undertaken by Omega Global Investors shows that the outcomes of sovereign investing need not be as uncertain as some investors fear.  On the contrary, the Omega research has

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Omega Global Investors strengthens research capabilities with new hire

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Specialist investment manager, Omega Global Investors (Omega) has boosted its research capability with the recent hire of Andrew Cleeland as an Investment Research Analyst. The appointment strengthens Omega’s risk-focused asset

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Innovation and ESG risk control: Omega partners with Local Government Super

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Specialist investment manager, Omega Global Investors (Omega) has announced an innovative global government bond strategy that breaks new ground in the delivery of risk-controlled asset management in the emerging field

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Market volatility leads to renewed interest in domestic bonds

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Investment manager, Omega Global Investors, has announced the inception of its new Australian Bond Fund, offering a risk-controlled portfolio amid recent market volatility. Omega has timed the release to capitalise

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Increasing demand for inflation-linked bonds in Australia

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Investment manager Omega Global Investors predicts the demand for Australian and international inflation-linked bonds will steadily increase over the next decade, with both markets recording recent strong returns.   “Institutional investors

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