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Anikó Maráz

Anikó Maráz
Senior Associate, Portfolio Management Research

About the Contributor

Anikó Maráz is a member of MSCI’s portfolio-management research team, focusing on fixed-income and multi-asset-class applied research. She previously worked in data and content services at MSCI. Anikó holds a bachelor’s degree in international business and a master’s degree in finance from the Corvinus University of Budapest.

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Contributions by Anikó Maráz


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  1. Amid ongoing U.S.-China trade tension, we have updated our stress test to consider three scenarios for how the situation could unfold — and their impact on currency, bond and equity markets around the world.

  2. BLOG

    Stress testing Brexit: Deal or no deal? 

    Oct 9, 2019 Anikó Maráz , Thomas Verbraken , Maraz Aniko

    Global Investing , Models/Client Cases , Risk Management

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    Brexit has roiled markets since U.K. voters chose “leave” in the June 2016 referendum. We used our stress-testing model to examine how markets could react to deal and no-deal scenarios.

  3. BLOG

    Home bias in fixed income: Has it helped or hurt? 

    Jul 29, 2019 Anikó Maráz , Andy Sparks , Maraz Aniko

    Fixed Income , Global Investing , Integrated Risk Management

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    Has global diversification historically helped reduce risk in the fixed-income portfolios of U.S. defined-benefit (DB) pension plans? Our backtests show that globalizing bond allocations would have increased risk measured relative to a liability benchmark. For such plans, home bias in bond portfolios would have reduced active risk over the period of our study.