Latest Manager Research – Page 176
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White papers
How institutional investors can make a social impact in portfolios
The momentum around net zero investing has helped focus the minds of institutional investors on ways to tackle climate change and how to respond to the changing policy landscape. This has led to fundamental change in how pension funds and insurers view their portfolios over the longer term – leading to the steady integration of environmental risks and opportunities.
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White papers
*A low volatility equity strategy that can resist rising rates and inflation*
BNP Paribas Asset Management’s proprietary low volatility equity strategy is designed to be insensitive to changes in interest rates and inflation. With many central banks now raising their policy rates to control surging inflation, this distinguishing feature has probably never been more important.
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White papers
French election: markets complacent for Macron victory, but game is not yet won
The first round of the Presidential elections in France took place on Sunday 10 April and the result confirmed the general picture that commentators had anticipated in the weeks leading up to the vote. Incumbent President Emmanuel Macron will face off against National Rally leader Marine Le Pen in the second round, scheduled for 24 April.
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White papers
Asset Allocation Committee Outlook - 2Q 2022
Against a background of structurally higher inflation and declining growth, exacerbated by Russia’s invasion of Ukraine, the Asset Allocation Committee’s (“AAC”) views have become more risk-averse.
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The demise of ESG is much exaggerated
Far from being a casualty of the war in Ukraine, ESG investing is the key to security in energy, food and commodities, says Eoin Murray, Head of Investment, Federated Hermes
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White papers
Fixed Income Investment Outlook: 2Q 2022
Global growth uncertainty has accelerated while inflation appears likely to persist. Still, we anticipate neither recession nor stagnation; moreover, central bank tightening expectations have likely peaked, potentially normalizing interest rate volatility and supporting spread sectors.
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Reaping the rewards
In the following interview, Darren Rabenou discusses the role food and agriculture can play in investors’ portfolios, the business’s key focus areas, what impact climate change is having on the sector, amongst other themes. Read the full interview to find out more.
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White papers
Why now may be the time to buy EMD
We maintain that EMD assets currently exhibit an entry opportunity as both an undervalued and under-owned asset class, offering the dual advantage of commodity exposure, as well as a more complete policy adjustment than developed markets, with regards to upcoming inflation risks. The potential benefits of EMD include Alpha opportunities from a diversified landscape, diversification potential, and the potential for attractive risk-adjusted returns.
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White papers
Economic and Market Review: Key Considerations for Equity Investors
We believe the conflict in Ukraine may turn out to be less critical for equity markets than the upcoming turn we anticipate in the economic growth cycle.
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Global Investment Outlook: Actively Navigating Economic and Geopolitical Shocks
Stephen Dover, Head of Franklin Templeton Investment Institute, and Gene Podkaminer, Head of Research, Franklin Templeton Investment Solutions in conversation about shocks to economic growth highlighting the case for a multi-asset portfolio, the role of alternatives, and active management, in the latest global investment outlook.
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White papers
Investment Grade Credit: Higher Rates Aren’t All Bad
The Russia-Ukraine conflict and rising interest rates have affected all bond markets, but opportunities remain among the investment grade universe.
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Private Equity Real Estate Investors - Overcoming the Challenge of Sustainability & ESG: Pro-invest Group’s ESG Journey
This case study was written by Claudia Zeisberger, Senior Affiliate Professor of Entrepreneurship and Family Enterprise and Academic Director of GEl, and Alexandra von Stauffenberg, Associate Director of the Global Private Equity Initiative (GPEI), both at INSEAD. It is intended to be used as a basis for class discussion rather than to illustrate either effective or ineffective handling of an administrative situation.
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White papers
Has Fear of the Fed Peaked?
As investors continue to digest the likely path of this tightening cycle, we think the dramatic moves of recent weeks are set to ease, laying a good foundation for credit investors.
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White papers
Powering the SiC revolution
Silicon carbide compound semiconductor technology is enabling better energy efficiency for electric vehicles manufacturers. What opportunities could this bring?
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White papers
New Frontiers: Finding the Untapped Opportunities in Alts
Investors are faced with a host of challenges in today’s market. Whether it be a war raging in Europe, the prospect of higher inflation and interest rates, or an equity market that may look frothy after a relentless run higher, the way forward for traditional investments may not appear as appealing as it was in past years.
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White papers
Allocation Views: Simplify the problem—A tighter focus
It has been an eventful start to the year. A significant rotation in equity market leadership in the early part of 2022’s first quarter saw the prospects for growth stocks derailed. This was followed by the shocking outbreak of war in Ukraine, adding new complexity to established geopolitical uncertainties—and all set against a backdrop of slowing economic activity, as well as inflation that was both persistent and troublesome.
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White papers
The Last Reliable Buoy
War and pandemic have disrupted recent patterns of prices and yields, but long-term inflation expectations remain in line—for now.
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White papers
Market snapshot: Fed ramps up policy response to runaway inflation
US central bank to begin speedy reduction of its balance sheet as officials lean towards 50bps rate rises this year
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White papers
How to think about investing in China today
Despite well-publicised moves to restructure its economy over the past few years, China remains a key investment destination due to the attraction of its enormous domestic market. And as the world’s second-largest economy, China is also deeply interconnected with the global economy in manufacturing supply chains and is increasingly a large portion of multinational corporate revenues. Consequently, understanding and navigating the complexities of China for both domestic and international investing has never been more important.
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White papers
Monitoring Narratives: an Application to the Equity Market
In this research, we show that variables from the Global Database of Events, Language and Tone (GDELT) convey significant informational content that can improve on a purely macroeconomic approach when modeling the US equity market.