What’s Up With the Price of Oil? By David Powers, CFA, Portfolio Manager and Senior Sector Analyst, Energy and Utilities
Global Small-Caps – Leveraged to the Global Market Cycle By Martin Jansen, Senior Portfolio Manager
Are Active Managers Active Enough? By Vincent Costa, CFA, Head of Portfolio Management for Quantitative Equity
Global Decoupling: An Interim Report Card By Martin Jansen, Senior Portfolio Manager
Secular Changes in the Metals Markets By Michael Leskinen, CFA, Senior Sector Analyst, Materials
Fed Policy, Investment Risks, and Opportunities By Fernando Garza, CFA, Senior Quantitative Analyst
Correction Deflates Chinese A-Share Market By Michael Chiu, Senior Investment Manager
ABC…UVW…XYZ By Rick Nelson, Chief Investment Officer
Value Add: Beware of Those Bargains By Swati Chandra, CFA, Quantitative Analyst
Web Advertising 2.0 By Michael Pytosh, Senior Sector Analyst, Technology, Media, and Telecom Services
Europe and Japan Facing Currency Crosswinds By Martin Jansen, Senior Portfolio Manager
Growth versus Value: Where do we go from here? By Alan Segars, CFA, Senior Portfolio Specialist
Maneuvering Mid-Cap By Oleg Slinin, Quantitative Analyst
China’s Stealth Approach to Currency Revaluation By Martin Jansen, Senior Portfolio Manager
Generics: Coming Wave is Just What The Fiscal Doctor Ordered By Joan M. Dillon, Senior Health Care Analyst
Crowded Momentum Trades: When to Join the Party? By Sanne de Boer, Ph.D., Quantitative Research Analyst
CIO Update Webcast: A Financial Crisis Becomes An Economic Crisis By Rick Nelson, Chief Investment Officer
New Opportunities in U.S. Small-Cap Investing: an intereview with Steve Salopek, Head of Small-Cap Equity
2007 – A Case for a More Dynamic Approach to Quantitative Investing By Omar Aguilar, Head of Quantitative Equity
A British Pound Not Quite So Sterling By Martin Jansen, Senior Portfolio Manager
Videogames: Casual Gaming Poised for Growth By Kei Yamamoto, CFA, Senior Sector Analyst, Technology
Is the U.S. Headed for a Recession? By Elias Belessakos, Ph.D., Senior Quantitative Analyst
International Financials: Signs of Life in the Ruins? By Martin Jansen, Senior Portfolio Manager
Home Prices: How Far Will They Fall? By Bob Kloss and Steve Rayner, Portfolio Managers & Senior Sector Analyst
A Shield Against Bear Markets By Emre Erdogan, Ph.D., Quantitative Analyst
Blind Man's Bluff in a Transformed World By Martin Jansen, Senior Portfolio Manager
Value and Size: the Hidden Connection By Wilmer Henao, Quantitative Analyst
Europe vs. Japan, the International Large/Small Cap Debate By Martin Jansen, Portfolio Manager
Earnings Revisions and the VIX By Fernando Garza, CFA, Senior Quantitative Analyst
Japan: The Safe, Low Beta Haven By Martin Jansen, Portfolio Manager
It’s Not All Trash: A Case For Revaluation of the Solid Waste Industry By Brian Madonick, Research Analyst
Growth Investing: Skim Off the Hype! By Swati Chandra, Quantitative Research Analyst
The Deep Value Puzzle By Pavel Vaynshtok, Senior Quantitative Analyst
Connectivity Shocks in Global Financial Stocks By Martin Jansen, Senior Portfolio Manager
Global tactical asset allocation hedge funds- A game of execution rather than of idea generation
Volatility and Leverage: Observations of the equity market neutral strategy in the hedge fund industry
Disciplined Core: ING's Best Kept Secret By Kristen Capuano, Financial Writer
Stagflation and the growth/value paradox By Alan Segars, Senior Portfolio Specialist
You say Alpha and I say Beta By Kirby Brown, CFA, Head of Investment Process and Risk Mgt
An Integrated Return and Risk Attribution Process By Wayne Bi, Senior Risk Management Analyst; Kirby Brown, CFA, Head of Investment Process and Risk Mgt
Sector Watch: Bullish on a Turbulent Sector
Investment Constraints and Their Impacts on Investment Process By Wayne Bi, Kirby Brown
More Bark Than Bite? Democratic-led Congress unsettles health care sector
Global Resources Portfolio Sell Sheet - Investment Management
The "Return" of Dividend Stocks By Brian Foerster, Senior Financial Editor
New market highs: buy signal or peak?
Japanese stocks - is the Japanese revival at risk?
Value vs. Growth: How Much of an Energy Play? By Brian Gendreau, Ph.D., Investment Strategist
The Political Cycle and Stock Market Performance By Brian Gendreau, Ph.D.; Mariah Buckley, Intern
Investment Risk Revisited By Wayne Bi, Risk management Analyst
Will the VIX Keep Rising? By Alan Segars
The Benefits of Short Selling
International Financial Stocks: Tailwind Abating By Martin Jansen
Earnings Season Never Fails To Surprise By Krista Kennedy
Tax Loss Harvesting
Quality Matters By Fernando Garza, CFA
Is Germany Regaining Its Role as Europe's Locomotive? By Martin Jansen, Senior Portfolio Specialist
Seventh Heaven for Small- and Mid-Cap Stocks By Doug Cote , Senior Portfolio Manager
Emerging Markets: On a Better Foundation to Withstand Shocks
Sector Watch - Technology: For Tech Investors, Green Eyeshades Fit Better Than Rose-tinted Spectacles By Brian Foerster, Senior Financial Editor
Mutual Fund Update: Going Global, Embracing Funds of Funds By ING Investment Management
Positive Momentum for Price Momentum By Omar Aguilar, Ph.D. ; Head of Quantitative Equity
Europe's Emerging Stars By Parisa Veldman-Koops; Senior Financial Writer, ING IM Europe
European Retail to Follow Japan's Lead? By Martin Jansen; Senior Portfolio Specialist, International Equities
Real Estate: The Flavor of Asia
More International Equity Strength Ahead? By Martin Jansen, Senior Portfolio Specialist