All Europe articles – Page 92
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White papers2017 Emerging Markets Outlook
On balance, our outlook for emerging markets in 2017 is optimistic, and we are off to a good start, with emerging markets outperforming developed markets in 2017.
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White papersEuropean real estate proves resilient despite political headwinds
European real estate continues to offer relatively good value amidst an environment of heightened political risk and rising inflation, says Monika Sujkowska.
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White papersA cornerstone allocation for pension funds seeking income and return
With the Brexit referendum now months behind us, uncertainty looks set to shape the investment agenda for some time to come.
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White papersBuild a Buffer in High Income Bonds
When investing in higher-yielding bonds, consider an approach designed to protect your portfolio from market turbulence.
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White papersWhat Happens When FedTrade Ends?
While most Fed watchers are focused on the federal funds rate, a more interesting topic may be the so-called FedTrade, which is keeping certain agency mortgage-backed securities’ risk spreads at artificially low levels.
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White papersSo long, bond bull market
Key drivers shaping bond markets have changed. Keeping a global perspective and knowing which macro signals to watch for can help you prepare for changes in bond yields. The world is slowing adjusting to the idea that monetary policy will transition to stimulative fiscal policy.
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White papersWhy European Institutional investors are investing in US Municipal Bonds
European institutional investors have been buying increasing amounts of the municipal bonds sold by US states and cities to fund public projects.
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White papersBehavioural Interventions Series: Paper Three Committed, Disengaged, Suspicious or Falsely Secure - What type of pension saver are you?
Saving for retirement is for most a complex and inaccessible topic, which is perhaps why many people switch off rather than engage with it head-on.
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White papersEurope: the scene is set for an(other) historic year
The rise of the populist vote will continue to dominate the political agenda in 2017 as we see elections across Europe. The risks and uncertainty involved in these votes is far more material than it has been in recent cycles.
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White papersWill 2017 herald a commodity bull market?
After commodity prices bottomed in early 2016, demand is outstripping supply once again, suggesting the next bull market may be approaching. Across commodity markets as a whole, we expect 2017 to be another positive year.
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White papersCross Asset Investment Strategy: February 2017
The rise in long-term interest rates raises a crucial question: is it a change in regime, a change in level, or a correction within a band of fluctuation that will remain low? The purpose of this article is to answer this question.
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White papersOur Convictions: February 2017
The election of D. Trump to the presidency of the United States had several major consequences on the financial markets
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White papersEuropean Research Monthly Update: February 2017
Executive Summary: Solid demand & supply fundamentals support rents
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White papersCities of the future
As more office jobs are set to be automated, forward-thinking investors need to think carefully about the sustainability of the cities where they choose to hold exposure.
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White papersThe Big Picture: A Cost Comparison of S&P Select Sector Futures and ETFs
This report compares the all-in cost of replicating S&P Select Sector exposure via futures and ETFs across four common investment scenarios.
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Asset Manager News
AEW opens new office in Madrid following a number of recent acquisitions in Spain
AEW announces that it has opened a new office in Madrid as a result of the growth in our assets under management in Spain.
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Asset Manager News
European real estate investors prepare for extended market cycle
Low interest rates, low returns: a clear response is emerging to the question of how long the current market phase is likely to continue as European investors review their real estate strategies.
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White papersEuropean Research Monthly Update: January 2017
Executive Summary: Good relative value remains
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White papersWhat the national living wage and business rates review means for the UK retail sector
The introduction of the National Living Wag in April 2016 and the resetting of business rates in April 2017 have ramifications for the UK retail market. But just what exactly remains unclear, not least in the case of the living wage.
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White papersCross Asset Investment Strategy: January 2017
As 2017 begins, it is helpful to take stock of the key issues coming into focus.
