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Research Papers

Fixed Income Research Papers

Solvency II for Real Asset Debt

October 2016

Fixed Income Portfolio Management in a Low Rate Environment

June 2016

Performance Measures in Fixed Income Markets

November 2015

Investment & Client Solutions Research Papers

Risk parity : choosing a risk-based approach

March 2015

Seeyond Research Papers

Using risk factors for equity portfolio allocation

January 2016

Investing in volatility: a new frontier for traditional portfolio diversification

December 2014

Managing equity risk in a low-rate environment

February 2014