Latest Manager Research – Page 264
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White papers
Liquidity Stress Testing in Asset Management
This article is part of a comprehensive research project on liquidity risk in asset management, which can be divided into three dimensions. The first dimension covers liability liquidity risk (or funding liquidity) modeling, the second dimension focuses on asset liquidity risk (or market liquidity) modeling, and the third dimension considers asset-liability liquidity risk management (or asset-liability matching).
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Private credit markets – adjusting, adapting and responding
Lately, there has been renewed interest to get deals done and enter into negotiations on new investments as private credit markets re-open following a period of relative stability and reduced volatility in publicly-traded markets.
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Europe’s “Man On The Moon” Moments
While 2020 brought many challenges and uncertainties for investors in Europe, there are reasons to be optimistic about the future.
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From property to the portfolio: The ESG opportunity and industry trends
Last month, Principal Real Estate Investors hosted a panel of subject matter experts to discuss Environmental, Social and Governance (ESG) developments and trends.
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European real estate: Searching for opportunity in a new era
It’s difficult to think of a scenario more impactful to real estate markets than COVID-19. The pandemic has been a direct hit on European real estate, and much uncertainty remains regarding the ultimate long-term effect.
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Public real estate debt: Facing today’s challenges
It is no secret that COVID-19 has had a particularly adverse impact on global real estate markets. But even as headwinds persist, there are opportunities worth considering within the public debt markets.
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How sustainability works in private asset investment
We explain why private assets can align with responsible investment just as well as listed assets.
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Outlook 2021
The heads of our investment platforms welcome the New Year with their views for 2021.
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Global Equities case study: Kurita Water
Our Global Equities strategies hold a diverse range of companies with attractive combinations of long-term fundamentals and good or improving ESG characteristics.
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GCC/MENA Bond Market Update
The result of the US election and positive COVID-19 vaccine developments led risk assets higher. Emerging market (EM) equities and crude oil were among the stronger performers.
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How private credit enhances returns while lowering risk
Private credit has until now been the preserve of large institutions, but that’s changing. We find out why.
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The good, the bad, and the ugly of secondary public equity offerings
The stock market plays a crucial role in helping companies raise finance, but are these raises a good deal for investors?
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What is scientific fixed income investing and why should investors embrace it?
BlueCove was founded in 2018 to research and develop state-of-the-art scientific investment processes applicable to fixed income
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Is sustainable infrastructure the best way to tackle climate change and emerging market poverty?
The emerging market need for huge amounts of infrastructure spending must be met sustainably for the planet’s sake - and that’s good news for investors.
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Imagine – Super-forecasting for those who don’t know
There is always a lot of interest in predicting the future, especially at this time of year when experts telling us what to expect over the next 12 months inundate us. In general, the quality and results of predictions are unimpressive. 2020 has been a case in point.
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Biden time: ESG implications for emerging markets and our portfolio in a post-Trump world
Last month, Joe Biden was hailed the winner of the tightly contested US presidential election. Here we examine the ESG implications of his victory for emerging markets and how it will impact our Global Emerging Markets portfolio.
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Senior infrastructure debts fixed income: which poses fewer challenges for investors?
Senior infrastructure debt is shielded from many of the challenges that face traditional fixed income in a zero-rate world. We explain why.
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COVID-19: The beginning of the end
The world has watched with despair as Covid-19 continues to spread, but 2020 is ending with a burst of hope that 2021 will mark the beginning of the end of a global battle against the pandemic.
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Have a look at our book - 2020 Edition
The book you have in your hands is the 2020 edition of Amundi Research papers. This book represents a selection of the working papers and discussion papers which seem the most representative of our work for the past 12 months. Some of the papers have already been published in academic reviews, others are scheduled to be published, others have been the subject of presentations at international conferences, others are the result of collaborations with academic institutions developed in through chairs.
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Legacy of the lockdowns – 2021 outlook
Three quarters of the year with many economies in one form of lockdown or another has left investors with many questions. How will the recovery proceed? How can the world tackle the social and economic problems laid bare by the crisis as well as entrenched issues such as climate change? In sum, what will be the legacy of the pandemic?