All Investors articles – Page 19
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Cashflow-Driven Investing
UK infrastructure debt: its merits for Cashflow Driven Investors
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Securitisation – Friend Not Foe
AXA Investment Managers explores how securitisation has evolved since the financial crisis, and dispels the negative myths which have lingered for institutional investors
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ESG in passive: let the buyer beware
Are investors ignoring the small print in their rush to buy funds incorporating environmental, social and governance principles?
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Investment Outlook for the Automotive Industry
We believe that today’s automotive industry—more than at any other time in its history—presents ample opportunities for active managers to uncover value for their investors.
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Why investors are wrong about the role of the dollar
A new theory about the US dollar is challenging the way economists and markets think about currencies.
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Why investors need to keep their balance
Investors seeking particular long-term outcomes need to achieve and – just as importantly – retain healthy long-term returns.
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5G in Latin America: A region’s global competitiveness at stake
So far, this series, 5G: The Foundation for a HyperConnected World, has examined the transformational technology that will redefine communications and have lasting impacts on several industries. Most recently we’ve explored 5G’s potential impact in Africa and how the continent could benefit from the technology.
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5G in Africa: Connecting a continent ripe for innovation
So far, this series, 5G: The Foundation for a Hyper-Connected World, has examined the transformational technology that will redefine communications and have lasting impacts on several industries. Most recently we’ve explored 5G’s significance in Asia and what the future could hold.
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Factor Investing: Avoiding the pitfalls
What Is Your General Experience Of Factor Investing?
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Can Investors Make Money in a US–China Trade War?
President Trump’s plans for tariffs on about $60 billion of Chinese imports have rattled equity markets.
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Shareholder Activism: Why Should Investors Care?
Institutional investors have large and diversified portfolios with substantial company ownership and strong incentives to monitor and influence the firm’s business. Active ownership is becoming a key component of their investment process.
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Potential New Emerging Markets On The Block: Argentina, Saudi Arabia And Romania
As an active manager focused on the emerging markets (EM), Mirae Asset not only looks at the current EM universe, but also at leading economies within the frontier index with forthcoming prospects for inclusion into the EM benchmarks.
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25 years’ experience provides platform for outperformance in Emerging Market Debt sector
Investors were given a wake-up call in February on the challenges posed by normalising monetary policy when strong economic data in the US sparked fears that interest rates would rise faster than expected, causing the global equity correction.
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Modern Slavery, Exploitation and the Issues with Low Cost Sourcing
What is Modern Slavery?
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Value Investing – A Contrarian Bet Within European Equities
When investors structure and diversify their equity portfolios, a key reference is the value/growth style framework that has dominated the fund industry for decades. Once target allocations are set, investors then select the funds offering the most appropriate risk and reward characteristics.
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How to use a lean, green weighing machine
Investors are increasingly challenging the notion that traditional benchmarks represent their default guide to allocating capital. Nowhere is this more evident than in the wish to allocate capital responsibly for the long-term.
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Right outcome & real income: a Multi-Asset approach
For most investors, diversifying via uncorrelated - or less correlated - sources of performances is key to medium / long term investment success, while efficient asset allocation becomes even more relevant in the current regime of low yields and lower returns.
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Mindboggled: Why Your Brain Makes Bad Investing Decisions
AllianceBernstein portfolio manager Stuart Rae explains how lessons from classic behavioural finance studies can help investors improve the choices they make today.
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Back to long-term investing in the age of geopolitical risk
A sunny outlook with cloudy skies. That’s how investors see their current investment prospects.