Latest Manager Research – Page 109
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White papersEuropean life sciences real estate
It’s darkest before dawn in European real estate markets
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White papersGold continues to shine
“Despite its historically high price, we believe that gold remains a safe haven and a good diversification tool at a time of high geopolitical tensions and excessive government debt.”
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White papersLife Sciences: Four reasons why this out-of-favour sector deserves your attention
As headwinds subside, the Sustainable Global Equity team reveal why they believe investment into the Life Sciences sector looks compelling for the long term.
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White papersHigh-Yield Bonds: Gaining Traction for Good Reason
High-yield bonds have become an increasingly popular investment choice. At Northern Trust Asset Management, we strongly believe this asset class is positioned to continue delivering the strong performance seen in the first half of 2024.
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White papersIndia: the emerging market outlier
Underlying economic factors make India an emerging market like no other.
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White papersMunicipal Fixed Income: Shelter From the Storm?
Technical factors and market volatility are creating a value opportunity in the U.S. municipal market. The summer months are typically a quieter, more predictable time in the municipal fixed income market, as supply tends to be modest and demand rises due to higher levels of bond reinvestment.
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White papersUnderstanding Style Drift in Perpetual BDCs
The popularity of perpetual BDCs and speed of capital raise for some has made it harder for certain managers to selectively deploy capital into true middle market deals—leading to “style drift” that can expose investors to unwanted risks.
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White papersArticle Shopping around: The outlook for US retail
While remaining broadly cautious on the US retail sector, the credit team explain why they are focusing on names with turnaround stories where they see upside catalysts and better relative value.
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White papersRate cuts: Now may be the time to extend duration
With the Fed likely to begin its rate cutting cycle in September, investors should consider extending duration now in high-quality fixed income to capture potential gains. Historically, bond yields drop ahead of Fed rate cuts, offering a window of opportunity to enhance returns without waiting for official policy shifts. Positioning in longer-duration assets now can provide income stability and potential price appreciation in a slowing economy.
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White papersSainsbury’s case study
Following research published by Oxfam on the supply chain human and labour rights risks that UK food retailers were exposed to, we engaged with Sainsbury’s to identify and manage these risks.
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White papersEquitorial: A practical pathway to net zero
Investors increasingly recognise the urgency of addressing climate change. Many, particularly in the institutional investor space, have already set net-zero goals and commitments. In our latest Equitorial report we ask: Can good intentions be translated into effective action?
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White papersCelebrating three years of the Sustainable Global Equity Strategy
Our Sustainable Global Equity Strategy recently celebrated its third anniversary. In recognition of this milestone, we took the opportunity to speak to the team behind the strategy about why it was created, the story so far, and their plans for its future.
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White papersThe Power of Diversification
Economist Harry Markowitz’s seminal 1952 essay on modern portfolio theory argues that through careful diversification, a portfolio can reduce the ‘specific risk’ associated with individual holdings, and more effectively track wider market performance. In this paper, however, we outline why Markowitz’s theory has limited practical application in private markets, and instead lay out an alternative approach to diversification that we feel is better suited to real estate and private credit.
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White papersWomen in CRE: Amy Price
When a door opens, “charge through it,” says the president of BGO.
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White papersInvesting in megatrends with thematic and exchange-traded funds (Part 1)
New research from BNP Paribas Asset Management’s Quantitative Research Group delves into thematic investing strategies. These investments target the long-term megatrends that are transforming economies, society and business models. This is the first of two extracts. It answers five questions to help investors understand the appeal and extent of, and risks involved in, megatrend investing.
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White papersBasel III Endgame and the “Reg Cap” Opportunity
Tighter bank capital regulation looks set to make U.S. banks adopt a risk-transfer practice that has long been common in Europe—and attractive to investors.
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White papersGEMs ESG Materiality, H1 2024
In the latest issue we shine the spotlight on South Korea’s ‘Corporate Value-Up Programme’, which seeks to improve corporate governance in the country. We also provide an update on our voting and engagement activity.
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White papersEurope better placed than America… and cheaper
In the US, weakening employment poses risks to both consumer expenditure and growth, while in China both the consumer and the property market are at risk. The European consumer is more confident, despite a tougher business environment.
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White papersSummer rotation in equities
Global equities delivered strong performance this year on the back of resilient economic activity in the US and Europe. Some sectors such as technology outperformed the broader markets led by artificial intelligence-driven exuberance in the US. We are now witnessing signs of a broadening of this rally to other areas such as small caps, financials, that have lagged behind.
