Geneva manager makes 17% with the fear index strategy


Over the past few weeks VIX Index, also called the Fear Index, has reached the levels unseen since the 2008 subprime crisis. In this article Pierre de Saab, Partner and Head of Asset Management, talks with Le Temps about the dynamics of market volatility and Dominicé’s approach to navigating it. What factors impact market volatility in the current crisis? What can we expect in the near future?

Click here to read the article (in French).