Forward Features Calendar

Intel

Impactive pushes for WEX board shake-up in ongoing proxy fight

Impactive Capital is seeking to reshape the board of WEX Inc, including a proposal to replace its long-serving chief executive from her board roles, according to a report by Reuters citing regulatory filings and unnamed sources familiar with the matter.

Saba secures breakthrough as UK trust backs SpaceX-linked plan

Saba Capital Management has secured a notable victory in a campaign targeting UK-listed investment trusts, after Edinburgh Worldwide Investment Trust moved to support a shareholder exit proposal aligned with its strategy, according to a report by Bloomberg.

Hedge fund capital reshapes traditional reinsurance market

A surge of institutional and hedge fund capital is reshaping the global reinsurance industry, as alternative investors increasingly channel money into catastrophe bonds and other insurance-linked securities, challenging a 180-year-old risk-transfer model, according to a report by Bloomberg.

GQG’s Kersmanc sees payoff from early big tech exit

Brian Kersmanc of GQG Partners says his decision to scale back exposure to major technology stocks more than a year ago is beginning to deliver results, despite initially lagging during the height of the AI-driven rally, according to a report

Digital assets funds see minor inflows

Digital asset products saw $224m in inflows last week, but momentum reversed later in the week amid stronger macro data and hawkish expectations, according to the lateness Digital Asset Fund Flows Report from CoiunShares.

Bill Ackman explores new fund to bet on market complacency

Pershing Square founder Bill Ackman is reportedly planning a new hedge fund strategy designed to capitalise on investor complacency, echoing the “doomsday” trades that netted Pershing Square billions during the pandemic, according to a report by the Financial Times.

Rokos posts positive March performance as macro peers struggle

Rokos Capital Management’s macro hedge fund delivered gains in March, standing out in a difficult month for many global macro managers as geopolitical tensions in the Middle East contributed to heightened market volatility, according to a report by Bloomberg.

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