During the recent ten years we have seen a steady increase in correlation between basically all markets. You will find a very good illustration for the decreasing diversification by just looking at the daily moves of the S&P 500 index stocks from 1996 to 2008. During all those years, there were only 12 trading days when more than 490 of the S&P 500 stocks moved in the same direction on a given trading day. In 2011, there were 15 such days with nearly even up/down ratio – and that’s in just one year.
Since August 2009 we have had 17 negative months on the MSCI World Index, and out of 17 months, the broad HFRI Index simultaneously declined 14 times. That is a 80% down capture by the hedge funds. The beta is like 0.23 and the r2 is 76%, so it is very obvious there is too much correlation between hedge funds in general and the equity markets.
Many of the more well-known correlations in the market have totally shifted and actually very much resemble the situation we had in 1929. Also, given the global macro environment, investors can't really rely on a market beta going forward. Seeking diversification by just having a passive allocation across asset classes is therefore becoming less and less useful.
The Opalesque 2012 Nordic Roundtable was sponsored by Salus Alpha and Eurex and took place August 31st in Stockholm with:
- Björn Österberg, Head of Research, IPM - Informed Portfolio Management
- Per Ivarsson, Head of Investment Management, RPM Risk & Portfolio Management,
- Sven Thorén, Portfolio Manager, Catella Asset Management
- Carl Meurling, CEO, EME Partners
- Werner Braunöck, Portfolio Manager and Co-Founder, Verto Invest
- Ulf Sedig, Co-Founder, Merrant Fund Management
- Oliver Prock, CEO/CIO and Founder, Salus Alpha
- Renaud Huck, Senior Vice President, Eurex
discussing:
- Opportunities for alpha strategies in Eastern Europe and Iceland
- What is the Nordic investor base like?
- Investment opportunities coming out of regulations & in the evolving manager space
- Why concept of alpha and beta still puzzles physicians and academics worldwide
- Do Russian financial markets really need that much “reform” as Western media like The Financial Times or The Economist write? How have the Russian financial markets done since 2008?
- Why Salus Alpha abandoned technical analysis when designing trading systems and moved to statistics
- How Eurex Exchange will protect buy side collaterals and positions in case of default of a clearing member
- Why value strategies may reap outsized returns in the coming five years
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