Latest Manager Research – Page 149
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White papersListed REITs 2024 Outlook
After lagging equities the past two years, REITs offer an attractive investment opportunity in 2024.
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White papersIs the “Vibe-cession” for US Consumers on Its Way Out?
Falling inflation hasn’t yet translated into good feelings among US consumers. Based on the latest data, that might be changing.
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White papersRob Lovelace on what’s in store for 2024
As we embark on a new year, the challenges ahead are well defined. Interest rates are elevated. Elections are upcoming. And many stock indexes are near all-time highs. Are these events setting the stage for a disappointing pullback or another bull run?
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White papersInfrastructure debt – Financing a sustainable future
Private capital can be vital in meeting net zero emissions goals. This includes infrastructure debt which can be an attractive way for investors to achieve their long-term return and income objectives and at the same time help finance the assets needed urgently to support the transition to a low-carbon economy.
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White papersResidential real estate: An attractive entry point for a sector with long term potential
We think the long-term fundamentals of the sector are good and should drive rental growth. The sector is also developing in more countries, with new formats emerging.
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White papersWill Artificial Intelligence increase economic growth?
Recent advances in the development of Artificial Intelligence (AI) could lead to potentially disruptive changes across a wide range of industries and impact economic activity through multiple channels. AI is widely seen as significantly different from previous technological innovations. But will it significantly increase aggregate economic growth through its impact on labour markets and increases in productivity?
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White papersIt’s Time to Say Goodbye to ‘T-Bill and Chill’
Investors who wait too long to get off the sidelines may find they’ve missed out.
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White papersBGO raises €1.38bn for third Europe Secured Lending fund
Global real estate investment firm BGO has closed its third Europe Secured Lending fund with €1.38bn (£1.18bn) in commitments from 40 institutional investors. The fund surpassed its initial target of €1.35bn. This is BGO’s third fund for its Europe Secured Lending business and is a complement to its UK Secured Lending strategy, which raised £1.43bn for its third fund at the end of 2023.
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White papersHistory lessons for Europe’s central bankers
Consensus is suggesting Europe has solved its inflation problems and substantial rate cuts are imminent – but is this realistic given how far economists and markets underestimated the recent price surge and policy tightening?
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White papersThe case for US small-cap stocks in 2024
Although US small-cap stocks joined the extraordinary rally in the final quarter of 2023, many small caps continue to trade at a significant discount to their larger-company counterparts. This creates an attractive entry point. So says Geoff Dailey, Head of US Equities. In this interview, he explains why he sees the start of 2024 as a good time to allocate to US small caps.
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White papersFixed Income Perspectives Q1 2024
Quarterly macro and market insights from Capital Group’s fixed income team
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White papersUK real estate market commentary: January 2024
The UK economy faces challenges, including the high cost of living and monetary tightening. However, there are signs of improvement. Oliver Kummerfeldt, Head of European Real Estate Research, discusses the economic landscape and provides insights for decision-making in real estate investments.
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White papersEuropean real estate market commentary: January 2024
The Eurozone’s economic momentum remains weak, with declining GDP and recessionary levels of activity. However, the real estate market shows resilience in certain sectors. Oliver Kummerfeldt, Head of European Real Estate Research, explains how the Eurozone economy is expected to gradually pick up in 2024.
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White papersDowns and Ups: Managing Equity Volatility Goes Both Ways
Defensive equity strategies that limit downside losses but lag too much in up-markets may be missing the mark. Is there another way to reduce volatility?
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White papersVoluntary Carbon Markets: Is the nuance lost in the noise?
The integrity of some of the world’s Voluntary Carbon Market (VCM) schemes is a hot-button issue. However, we believe it’s important to understand some of the differences in standards around the world – as well as the progress being made towards tightening them.
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White papersUK real estate market commentary: January 2024
The UK economy faces challenges, including the high cost of living and monetary tightening. However, there are signs of improvement. Oliver Kummerfeldt, Head of European Real Estate Research, discusses the economic landscape and provides insights for decision-making in real estate investments.
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White papersGeopolitics in an election-heavy year
”We are witnessing a global realignment towards a multi-polar world, and geopolitics will be a crucial factor to watch for investors in 2024.”
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White papersFixed Income Quarterly – Crosscurrents in the US outlook
For 2024, we foresee several crosscurrents that could influence the outlook for US growth and inflation. Before we discuss those, let’s look at the demand and supply-side factors behind the remarkable resilience of the US economy in 2023.
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White papersTokenisation: The next frontier for investing?
We investigate recent technological advances in the bond markets and examine what impact tokenisation and digital currencies might have on investing in the future.
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White papersEuropean Hotel Sector: Identifying opportunities for value creation
A combination of strong fundamentals and pockets of distress presents unique opportunities for investment in the European hotel sector. (Explore the investment case in detail in our first paper in this series.)
