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Recent Headlines
Hedge Funds Care Raises $170KSep 02, 2010
Hedge Funds Care (HFC), a charitable organization in the hedge fund space, held its third-annual East Coast golf tournament on Aug. 16 at the Greenwich Country Club and raised ...
 
Hedge Fund Firm Galtere to Launch PE Fund
Perhaps convergence is not dead, as hedge fund firm Galtere announced plans to launch a private equity fund focused on agribusiness. ...
 
Man Group Names GLG’s Roman as COO
Hedge fund firm Man Group named recently acquired GLG Partners’ co-Chief Executive Officer Emmanuel Roman to be its chief operating officer. ...
 
Ex-Hedge Fund Manager Charged With Insider Trading
Tepper is Only Hedge Fund Manager on VF Top 100 List
JPMorgan Said to be Closing Commodities Prop Desk
Elliott Management Drops Hedge Fund Mag Suit
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Most Popular Articles

The Shadow Sows
The Shadow Sows: Seeking Returns in Hybrid Structures
Jul 26, 2010
Many hedge fund investors have been frustrated with the lack of returns this year following a banner year in 2009.
[More Shadow Sows]     Comments (5)

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  Top Strategies Skip Navigation Links
HFN Single Strategy IndicesActive #Jul# Report YTD*
HFN Long Only Index1375.18%112-0.44%
HFN Energy Sector Index653.66%610.84%
HFN Emerging Markets Index3573.52%2761.01%
HFN Technology Sector Index163.43%123.90%
HFN Value Index913.24%785.60%
HFN Long/Short Equity UCITS Index392.41%292.69%
HFN Small/Micro Cap Index712.40%617.37%
* YTD value through Jun 2010

HFN Research
HFN Industry Report: July 2010
Markets in July favored funds with long-biased exposure to riskier assets. Equity oriented strategies performed best and technology sector funds produced the highest average returns, +5.46%. Fixed income strategies were also broadly higher, but again the long biased strategies with riskier assets appreciated most during the month, including distressed and mortgage related funds.

HFN Industry Report: June 2010
June returns were more mixed than any other month in 2010. Volatility continues to rise amid fear of a sputtering economic recovery in the U.S. and uncertainty as to the financial health of Greece and other Eurozone countries. In this environment, fixed income strategies produced superior returns, led by mortgage sector funds which were +1.
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