Content (972)

  • Equity Market Outlook 1Q 2026

    White papers

    Equity Market Outlook 1Q 2026

    2026-01-29T14:13:00Z

    In the following collection of charts, we a) reaffirm our belief that supportive macroeconomic and capital-markets forces have the potential to drive further equity gains; b) address what we view as some of the more important risks to our thesis (including potential drawdowns that tend to accompany mid-term election years, as well as rising bond market volatility); and c) offer tactical portfolio guidance across various equity markets.

  • Evergreen Private Equity Investing- Key Benefits of a Direct, Multimanager Approach

    White papers

    Evergreen Private Equity Investing: Key Benefits of a Direct, Multimanager Approach

    2026-01-28T13:18:00Z

    An expanding array of evergreen funds now aims to deliver continuous private equity exposure with lower barriers to entry. But not all approaches are created equal.

  • How the AI Debt Supercycle Is Reshaping Credit Markets

    Podcast

    How the AI Debt Supercycle Is Reshaping Credit Markets

    2026-01-27T14:06:00Z

    AI-related bond issuance is surging, reshaping the opportunity set for fixed-income investors. In addition to robust U.S. growth, constrained inflation, and an attractive opportunities beyond the U.S., investors must also navigate greater tail risks, more complex financing structures, and rising political uncertainty around AI and energy use.

  • U.S. Fixed Income- Policy-Driven Opportunities Emerge

    White papers

    U.S. Fixed Income: Policy-Driven Opportunities Emerge

    2026-01-26T14:10:00Z

    Amid the administration’s flurry of affordability-targeted policy initiatives, bond investment opportunities are emerging.

  • FIIO_1Q_2026_Banner_1600x500

    White papers

    Fixed Income Investment Outlook: 1Q 2026

    2026-01-22T17:16:00Z

    After a generally stellar year for fixed income, 2026 looks more demanding, with fewer rate tailwinds and tight spreads putting a premium on security selection and global diversification, particularly as tail risk rises.

  • Asset Allocation Committee Outlook 1Q 2026

    White papers

    Asset Allocation Committee Outlook: 1Q 2026

    2026-01-22T17:12:00Z

    The Asset Allocation Committee (AAC) continues to see opportunity in growth and risk assets over the medium term, even as elevated risks and increasingly divergent policy paths make the investment landscape more complex. We believe this environment rewards disciplined, selective risk-taking.

  • Emerging Markets- The Next Phase in Market-Broadening

    White papers

    Emerging Markets: The Next Phase in Market-Broadening

    2026-01-19T17:18:00Z

    At the same time developed markets have been generating policy and macro noise, emerging markets have been quietly outperforming. We expect EM risk assets to continue to deliver.

  • Markets in 2026- Full Speed Ahead—With Eyes Wide Open

    White papers

    Markets in 2026: Full Speed Ahead—With Eyes Wide Open

    2026-01-12T16:39:00Z

    When everything seems to be going right, that is precisely when vigilance is needed.

  • Embracing Risk in a Shifting Macro Regime

    White papers

    Embracing Risk in a Shifting Macro Regime

    2026-01-12T16:35:00Z

    The Asset Allocation Committee (AAC) continues to see opportunity in growth and risk assets over the medium term, even as elevated risks and increasingly divergent policy paths make the investment landscape more complex. We believe this environment rewards disciplined, selective risk-taking.

  • Finding the AI Megatrend Through Bonds

    White papers

    Finding the AI Megatrend Through Bonds

    2026-01-12T16:32:00Z

    The AI capex boom is creating a compelling fixed income opportunity, as leading tech firms increasingly fund investments through sizeable AI‑linked bond issuance, offering investors an alternative way to gain AI exposure beyond equities.

  • Extended Fixed Income- Seeking Returns in Public and Private Debt

    White papers

    Extended Fixed Income: Seeking Returns in Public and Private Debt

    2026-01-06T16:41:00Z

    In an environment where rates are normalizing and credit spreads are tight, European insurers are seeing a mix of interesting opportunities in emerging markets debt, private credit and securitised products.

  • Neuberger Berman’s 2026 Capital Market Assumptions

    White papers

    Neuberger Berman’s 2026 Capital Market Assumptions

    2026-01-06T15:59:00Z

    After a volatile yet resilient year for markets, we look to 2026 with cautious optimism that the worst of the global trade and policy uncertainty has passed, leaving a more supportive, if still dynamic, backdrop for economic growth and risk assets.