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  • Distressed Debt: How This Cycle May Be Different weblink

    White papers 15 August 2019

    Barings’ Stuart Mathieson and Bryan High discuss the outlook and competitive landscape for distressed debt and consider the implications of the significant growth in private credit and European high yield since the last cycle.

  • Views from the LPAC download

    White papers 18 July 2019

    Over our 25 years investing across private markets, Barings has had the opportunity to hold hundreds of Limited Partner Advisory Committee (LPAC) seats—helping mitigate conflicts of interest, and making suggestions to General Partners (GPs) and Limited Partners (LPs) on best practices.

  • Fixed Income: Upending the Conventional Approach download

    White papers 16 July 2019

    The search for yield trudges on amid trade and tariff clashes, and a credit cycle that continues to surprise in its longevity. In this Q&A, Michael Freno, Head of Global Markets, shares his views on where value can still be found and how investors can benefit from looking beyond traditional indexes in high yield, investment grade credit and emerging markets debt.

  • Fixed Income: Looking Beyond the Index for Late-Cycle Value weblink

    White papers 16 July 2019

    Head of Global Markets, Mike Freno, sheds light on how the Barings’ teams are finding value outside of traditional indexes across high yield, investment grade credit and emerging markets debt.

  • Private Equity: Where LPs Need to Do Their Homework Now weblink

    White papers 12 July 2019

    From fund-life extensions to ESG and diversity efforts, limited partners (LPs) have no shortage of factors to consider when evaluating PE investments. Barings’ Elizabeth Weindruch provides first-hand insight into the latest challenges facing PE investors today.

  • IG Credit: Mid-Year Roundtable download

    White papers 10 July 2019

    David Nagle, Managing Director within IG credit, recently hosted a webinar with a panel of experts across corporate, structured credit, emerging markets, securitized products and macro research. They shared their views on the markets, and addressed front-of-mind topics.

  • How Europe Took a Knife to a Gunfight weblink

    White papers 1 July 2019

    The continent has made remarkable progress… but its economic interests remain vulnerable in a world that once again favors a sharp elbow over a memorandum of understanding.

  • Assessing the Countries Making Headlines Across EM Debt weblink

    White papers 25 June 2019

    As emerging markets continue to dominate world news, Barings’ Ricardo Adrogué weighs in on the trade frictions with China, Venezuela’s evolving status as a political hotspot, and why he has high conviction in Mexico.

  • Investing in China: Tapping into Long-Term Opportunities download

    White papers 19 June 2019

    Ghadir Cooper, Global Head of Equities, recently joined a round table with Pensions & Investments to discuss the opportunity set in China. Despite slowed growth and trade concerns, she believes there are several reasons why investors should remain optimistic.

  • Where the Dry Powder Goes Next download

    White papers 18 June 2019

    Stuart Mathieson and Bryan High, portfolio managers for the Global Special Situations strategy, discuss the outlook for distressed debt investing—and explain how they’re finding opportunities throughout the cycle.

  • How Opportunistic Is Your Investment Grade Allocation? weblink

    White papers 13 June 2019

    Michael Freno, Head of Global Markets, discusses the benefits of ‘multi-asset’ or ‘opportunistic’ credit portfolios and the newly-launched Barings Global Investment Grade Strategies.

  • Four Reasons Security Matters Right Now weblink

    White papers 12 June 2019

    Amid the late stages of an elongated credit cycle, Martin Horne, Barings’ Head of Global High Yield, discusses four reasons why global senior secured bonds—a lesser known and perhaps underappreciated subset of high yield—could be an attractive option in the event of defaults.

  • Private Credit: How Supply/Demand Dynamics are Shaping the Landscape download

    White papers 22 May 2019

    Ian Fowler, Co-Head of the North American Private Finance Group, discusses the dynamics of each middle market segment—including upper-end style shift resulting from competitive pressures—and explains why the traditional middle is the sweet spot.

  • Is There Style Drift in Middle Market Lending? weblink

    White papers 22 May 2019

    Barings’ Ian Fowler weighs in on the supply/demand dynamics in the direct lending space and explains why looking at the middle market as one cohesive universe can be misleading.

  • High Yield: Identifying Value Amid Shifting Sentiment download

    White papers 9 May 2019

    In this Q&A, David Mihalick, Barings’ Head of U.S. High Yield Investments, discusses the volatile swings in investor sentiment that high yield markets experienced over the last two quarters, and where the Barings team is seeing value today.

  • Global Emerging Markets Equities: Where Do We Stand? download

    White papers 9 May 2019

    In this Q&A, William Palmer and Michael Levy, Co-Heads for Emerging and Frontier Equities, discuss their approach to accessing the asset class, current trends, and why recent headwinds may be becoming tailwinds.

  • German Equities Present Opportunities to Combat Headwinds download

    White papers 9 May 2019

    In this Q&A, Rob Smith, Manager of the Barings German Growth strategy, shares his thoughts on how German equities are positioned to combat various headwinds, and which sectors the team expects future growth to come from.

  • Why Russia May be Set for an Explosion in E-commerce Growth weblink

    White papers 29 April 2019

    Historically a laggard in the e-commerce world, Russia is showing signs of life. But challenges remain.

  • High Yield: A Swift Rebound weblink

    White papers 29 April 2019

    High yield bonds and loans posted a strong Q1 following the technically induced Q4 sell-off. With defaults still near historical lows, current spreads provide attractive risk-adjusted return potential.

  • EM Debt: Investing with Cautious Optimism weblink

    White papers 23 April 2019

    Sovereign debt outperformed in Q1 as geopolitical headlines continued to garner attention and commodities rallied. Risks remain for the asset class but some notable headwinds have now become tailwinds.

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