Bank Invest Piles Into Equity Derivatives As Soft Landing Becomes More Likely
Oct 18, 2024
Portfolio managers at USD5.4 billion Danish asset manager Bank Invest are bullish on equity derivatives strategies into the end of the year. Peter Lorin Rasmussen, chief portfolio manager and head of multi-asset at BankInvest in Copenhagen, said the firm is overweight equity allocations on cyclical names and systematically trading short S&P 500 volatility.
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