The Capital Advisor The Capital Advisor 30 Years of Thought Leadership Category All Categories Credit & Risk Management (59) Debt Finance Consulting (26) Investment Management (152) Topic All Topics Auction Rate Securities (7) Bank Deposits (25) Benchmarks (2) Biotech (6) Capital Raising (2) Cash Portfolios (62) Counterparty Risk (6) Credit Risk (48) Debt Market (6) Earnings Credit Rate (ECR) (1) Equipment Lease (2) Federal Reserve (2) Global Economy (26) Insured Deposit Programs (4) Interest Rates (40) Investment Policy (4) Life Sciences (5) Liquidity (50) Liquidity Survey (8) Monetary Policy (14) Money Market Fund (67) Money Market Fund Reform (19) Portfolio Management (79) Private Liquidity Funds (1) Risk Management (41) SEC (17) Separately Managed Accounts (68) Structured Finance (4) Tax Reform (2) Venture Debt (23) Year All Years 2024 (4) 2023 (6) 2022 (2) 2021 (3) 2020 (9) 2019 (13) 2018 (13) 2017 (15) 2016 (16) 2015 (23) 2014 (13) 2013 (13) 2012 (14) 2011 (14) 2010 (11) 2009 (12) 2008 (13) 2007 (12) 2006 (12) 2005 (6) 2004 (10) 2003 (2) Credit & Risk Management7/29/2011 When the Safe Haven is No Longer AAA Credit & Risk Management7/1/2011 The Economic “Soft Patch” at the End of QE2 Debt Finance Consulting6/21/2011 Venture Debt: When and Why – A Strategic Guide for CFOs Credit & Risk Management6/1/2011 On Floating Net Asset Values of Money Market Funds: Will The Curtain Rise? Investment Management5/1/2011 Collateralized Commercial Paper: A New Breed or ABCP 2.0? Credit & Risk Management4/1/2011 The Path for Housing GSEs and its Impact on Corporate Cash Investors Credit & Risk Management3/1/2011 Asset-Backed Securities: Time to Reevaluate Their Place in Corporate Accounts? Investment Management2/1/2011 Dissecting Prime Money Fund Holdings Investment Management1/3/2011 Three Cash Investment Trends (and Twists) in 2011 Investment Management12/1/2010 Three Trends in 2010 that Changed the Cash Investments Landscape Investment Management11/1/2010 Quantitative Easing, Round Two Investment Management10/4/2010 Decoding the New Regulatory Blueprint Investment Management9/1/2010 Four Steps to Prudently Pursue Yield Investment Management8/2/2010 Quantifying Liquidity Premium of Money Market Funds in the Low Yield Environment, Part II Credit & Risk Management7/1/2010 Prudent Risk Diversification: Challenges to and Solutions for Short-Duration Investors Page 11 of 16 Older posts Newer posts