All Credit articles – Page 31
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Brexit: Panel Discussion
Mark Burgess, Chief Investment Officer, EMEA, and Global Head of Equities, discusses the short and medium-term impacts of the UK referendum vote to Leave the European Union.
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How to implement ESG analysis in credit research
At Insight, we believe that incorporating environmental, social and governance (ESG) risks within credit analysis, alongside other investment considerations, is achievable and beneficial for investors.
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Generating returns and managing volatility: the absolute return approach to convertible bonds (May 2016)
The past months have been characterised by an unprecedented low rate environment.
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The last Smart Beta paper you’ll ever (have to) read
Institutional investors could be forgiven for rolling their eyes at yet another article on “smart beta.” Indeed, the hype around this topic over the last few years has been intense.
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An unconstrained credit solution to answer market complexity
The Euro High Yield asset class / strategy has gained ground in the past three years versus its US counterparts. The sector grew over three times in terms of notional during that period.
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Alternative Beta: There is another way
As institutional investors urgently seek ways to truly diversify their portfolios, alternative beta strategies offer a low cost, liquid alternative to multi strategy and fund of hedge funds
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Alternative beta as true diversifiers
Alternative betas can play the role of a true diversifier in a broad-based portfolio. They include various equity style factors and can be found across asset classes such as stocks, bonds, credit, currency and commodities.
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Debt, distortion and navigating credit markets
Markets have been distorted by unprecedented central bank intervention. In spite of talk of policy normalisation, the burden of debt is a significant constraint. Finding opportunities in credit markets will require innovative investment approaches, writes Insight Investment’s Head of Credit, Alex Veroude
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Optimising your credit strategy in a low-yield world
Investment grade credit markets provided investors with strong performance in 2014, but with credit markets testing their highs, now is an opportune time for investors to reconsider how credit portfolios might be affected by diverging US and eurozone monetary policy.
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The case for pension funds to consider buy and maintain
Why should pension funds consider a buy and maintain strategy and how are such strategies being used by pension funds?
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Webcast: The Global Private Finance Opportunity
As investors continue to hunt for yield in this historically low interest rate environment, global private credit markets offer a potential solution for achieving both attractive returns and diversification.
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The case for multi-sector credit
With current yields low, the prospects for total returns from core fixed income appear subdued in the near term, and investors are seeking ways to achieve greater returns from their bond allocations.