Global Macro
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Global macro is an investment strategy that leverages
macroeconomic Macroeconomics is a branch of economics that deals with the performance, structure, behavior, and decision-making of an economy as a whole. This includes regional, national, and global economies. Macroeconomists study topics such as output/ GDP ...
and
geopolitical Geopolitics () is the study of the effects of Earth's geography on politics and international relations. Geopolitics usually refers to countries and relations between them, it may also focus on two other kinds of states: ''de facto'' independen ...
data to analyze and predict moves in
financial markets A financial market is a market in which people trade financial securities and derivatives at low transaction costs. Some of the securities include stocks and bonds, raw materials and precious metals, which are known in the financial marke ...
. Large-scale or " macro" political and economic events can disproportionately impact certain
sectors Sector may refer to: Places * Sector, West Virginia, U.S. Geometry * Circular sector, the portion of a disc enclosed by two radii and a circular arc * Hyperbolic sector, a region enclosed by two radii and a hyperbolic arc * Spherical sector, a ...
, such as the energy, commodity, and currency markets, over others. The strategy typically employs forecasts and analysis of
interest rate An interest rate is the amount of interest due per period, as a proportion of the amount lent, deposited, or borrowed (called the principal sum). The total interest on an amount lent or borrowed depends on the principal sum, the interest rate, ...
trends, international trade and payments, political changes, government policies, international relations, and other broad systemic factors.


History

As a strategy, global macro formalized in the late-1960s around primary commercial
products Product may refer to: Business * Product (business), an item that can be offered to a market to satisfy the desire or need of a customer. * Product (project management), a deliverable or set of deliverables that contribute to a business solution ...
. Large-scale macro events pushed market prices of both soft ( cocoa, fruit and
sugar Sugar is the generic name for sweet-tasting, soluble carbohydrates, many of which are used in food. Simple sugars, also called monosaccharides, include glucose Glucose is a sugar with the Chemical formula#Molecular formula, molecul ...
) and hard (gold, silver, and copper) commodities to move in recognizable patterns. In the 1970s, interest rate modeling was used to predict moves in foreign currency markets as well as in sovereign debt. Hedge fund managers such as Paul Tudor Jones used large-scale demographic analysis to predict the equity market collapse of 1987 after comparing the market conditions of a similar crash in 1929. The 1990s saw the rise of global macro volatility trading which used geopolitical instability in both developed and developing nations to place directional bets on market movements. In 1992, hedge fund manager
George Soros George Soros (born György Schwartz; August 12, 1930) is an American investor and philanthropist. , he has a net worth of US$7.2 billion, Note that this site is updated daily. having donated more than $32 billion to the Open Society Foundat ...
' profitable sale of the
pound sterling Sterling (symbol: £; currency code: GBP) is the currency of the United Kingdom and nine of its associated territories. The pound is the main unit of sterling, and the word '' pound'' is also used to refer to the British currency general ...
prior to the
European Exchange Rate Mechanism The European Exchange Rate Mechanism (ERM II) is a system introduced by the European Economic Community on 1 January 1999 alongside the introduction of a single currency, the euro (replacing ERM 1 and the euro's predecessor, the ECU) as ...
debacle yielding him a profit of $1 billion in a single day., Foreword by Niall Ferguson In 1994, investment management firms began factoring in macro data into a portfolios' risk profile. Three years later in 1997, the Global Economic Policy Uncertainty (GEPU) Index was created to measure three key macro variables: economy, policy, and uncertainty (volatility). During the 2010s, quantitative investment funds dedicated resources to global macro strategies due to the complexity involved with analyzing large amounts of dynamic economic and political data. Modern technology including AI has been used to sort through data and in the execution of trades involving certain
sectors Sector may refer to: Places * Sector, West Virginia, U.S. Geometry * Circular sector, the portion of a disc enclosed by two radii and a circular arc * Hyperbolic sector, a region enclosed by two radii and a hyperbolic arc * Spherical sector, a ...
, such as the energy, commodity, and currency markets, among others.


Types

Due to the broad mandate of global macro, it has been described by
DoubleLine Capital DoubleLine Capital ("DoubleLine") is an American investment management firm headquartered in Tampa, Florida. It is known for its focus on investing in the bond market but also invests in other asset classes such as equities and commodities. The ...
as a "go anywhere, do anything" strategy. * Discretionary: deploys directional positions at the asset class level to express a positive or negative top-down view on a market. Of all of the strategies, discretionary macro provides the most flexibility, including the ability to express either long or short views, across any asset class, and in any region. * Commodity/Managed Futures: applies priced-based trend-following algorithms to the trading of futures contracts on similar data used by discretionary macro. * Systematic: enters into positions with data based upon fundamental analysis, similar to discretionary macro, but the deployment of those trades is based on a systematic, or model-driven process.


Funds

A list of global macro investment funds include: *
Bridgewater Associates Bridgewater Associates, LP (informally known as "Bridgewater") is an American investment management firm founded by Ray Dalio in 1975. The firm serves institutional clients including pension funds, Financial endowment, endowments, Foundation (no ...
* Element Capital Management *
Moore Capital Management Moore Capital Management, LP (MCM) is a global investment management firm headquartered in New York, New York.
*
Caxton Associates Caxton Associates is a global macro hedge fund founded by Bruce Kovner in 1983 in New York City. The firm's headquarters are located in London, and also has offices in New York, Singapore, Monaco and Dubai. Caxton Associates identifies investme ...
* Brevan Howard Asset Management *
King Street Capital Management King Street Capital Management is an American investment management company founded in 1995 by Brian J. Higgins and Francis Biondi Jr.McIntosh, Bill, ed."The US50" The Hedge Fund Journal in association with Newedge Prime Brokerage Group. Accesse ...
*
Sculptor Capital Management Sculptor Capital Management (formerly ''Och-Ziff Capital Management Group'') is an American global diversified alternative asset management firm. They are one of the largest institutional alternative asset managers in the world. The company oper ...


See also

*
Quantitative investing Quantitative analysis is the use of mathematical and statistical methods in finance and investment management. Those working in the field are quantitative analysts (quants). Quants tend to specialize in specific areas which may include derivative ...
* Political statistics *
Econometrics Econometrics is an application of statistical methods to economic data in order to give empirical content to economic relationships. M. Hashem Pesaran (1987). "Econometrics", '' The New Palgrave: A Dictionary of Economics'', v. 2, p. 8 p. 8 ...
*
Foreign policy Foreign policy, also known as external policy, is the set of strategies and actions a State (polity), state employs in its interactions with other states, unions, and international entities. It encompasses a wide range of objectives, includ ...
*
Monetary policy Monetary policy is the policy adopted by the monetary authority of a nation to affect monetary and other financial conditions to accomplish broader objectives like high employment and price stability (normally interpreted as a low and stable rat ...


References


External links


Introduction to Global Macro Hedge FundsGlobal Macro Index
{{Hedge funds Investment management Hedge funds