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  • FTSE Russell's Inside ETFs Breakfast Workshop

    Asset Manager News 7 February 2019

    Start your day with an interactive roundtable breakfast, courtesy of FTSE Russell and industry leaders from a variety of ETF issuers.

  • FTSE Russell Blog weekly recap 15th Feb 2019 download

    Asset Manager News 15 February 2019

    Transitioning a portfolio to address ESG risks and opportunities can appear daunting. Here are five insights that may help.

  • FTSE Russell Blog weekly recap 22nd Feb 2019 download

    Asset Manager News 22 February 2019

    Index IDEA: Fixed income cartography meets index methodology...

  • Blog | Deteriorating revenue and EPS growth outlook remains key market headwind weblink

    Asset Manager News 21 March 2019

    Despite broadly easing financial conditions, slowing global growth and pervasive geopolitical uncertainties pose greater hurdles for revenues and profits—and risk appetite—following the recent rally.

  • Blog | China's retail investment market: Implications for minimum variance weblink

    Asset Manager News 25 March 2019

    Accessing the China A-Shares Market Via Minimum-Variance Investing (recently published in the Journal of Portfolio Management) explains how minimum variance strategies may work in historically volatile markets such as China.

  • Blog | Index IDEA: The global equity bounce back weblink

    Asset Manager News 27 March 2019

    Following a challenging 2018 for equity markets around the world, global equity markets have bounced back in a major way thus far in 2019, helped by the rapid easing in global financial conditions led by the US Federal Reserve’s more accommodative policy stance.

  • Blog | Infrastructure REITs: A match made in low yield environment heaven weblink

    Asset Manager News 18 April 2019

    For a brief period, it appeared that the extended low yield environment of today might at last be coming to a close. But the Fed’s about-face to a more dovish stance on interest rates has investors again searching for yield, giving a boost to income-producing investments. Two asset classes that have benefited in particular are REITs and Infrastructure, and the combination of them—Infrastructure REITs—have performed notably better than broader REIT and equity indexes.

  • Blog | Index IDEA: Equal weight, unequal performance weblink

    Asset Manager News 24 April 2019

    Equal weight is considered by many to be one of the oldest and most time-tested approaches to reduce portfolio concentration and enhance diversification. But how have equal weighted approaches stacked up relative to traditional market cap weighted approaches for long-term risk-adjusted performance? Quite well, in fact, according to new research from FTSE Russell.

  • Blog | Markets wrestle with late-cycle crosswinds weblink

    Asset Manager News 25 April 2019

    In a rare tug of war, both equities and government bonds have rallied this year as financial markets wrestle with the implications of a synchronized global slowdown.

  • Blog | Building solid returns with developed core infrastructure weblink

    Asset Manager News 29 April 2019

    At the end of last year, I posted about how FTSE Russell is meeting the rising demand for developed core infrastructure indexes. The continued environment of yield scarcity had a growing number of investors turning to this asset class for its income-generating potential, and our FTSE Developed Core Infrastructure Index gave them a means to benchmark their returns.

  • Blog | US equities reach new highs despite persistent global economic angst weblink

    Asset Manager News 3 May 2019

    Global equity markets rose in April as easier global financial conditions, signs that China’s slowdown may be bottoming, and better-than-expected US economic data and first-quarter earnings helped buoy risk appetite. However, uncertainty persists over the status of the global economy.

  • Blog | Why pension schemes can lead on climate change; Mersey’s long horizon weblink

    Asset Manager News 28 May 2019

    The long-term investment timeframe that pension schemes take poses enormous challenges but can also lead to innovative investment approaches to difficult issues. In this guest Q&A, Owen Thorne, portfolio manager, monitoring & responsible investment at the Merseyside Pension Fund (MPF) explains how the Fund approached the climate change challenge.

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