Latest Manager Research – Page 286
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White papersThe Next Generation of Business Development Companies
Jon Bock, CFO of Barings BDC, describes the transformational development of BDCs as an asset class, explains the trends driving M&A in the space and sheds light on why the asset class continues to garner increased attention from investors.
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White papersThe Brave New World
Supply chain disruptions persist, making the global reopening much less smooth. Contagious variants still weigh on activity, and vaccination levels in major emerging markets have progressed marginally. An energy price shock has added to the unpleasant mix.
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White papersCredit events in China (I) – The macroeconomic impact
In this first of a two-part report, Chi Lo, Senior Market Strategist APAC, examines the macroeconomic impact of China’s latest credit events. In part II, he assesses whether these same events could trigger a property market crash.
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White papersFor the Global Economy, It’s Next Stop…Policy Normalization
November is likely to mark the start of a transition phase for the global economy. For almost two years, major central banks have thrown extraordinary waves of support into shoring up economic activity and financial markets against the COVID-19-induced crisis. Now, officials in many countries seem ready to begin the march back toward a more normal policy setting.
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White papersEuropean alternatives: A slow burner destined for a big future
In Europe, the evolution of new property types, also called alternative sectors, have tended to lag behind the U.S., as Europe’s range of legal and tax systems, capital markets, currencies and city planning regimes make it much harder to implement strategies across borders. Consider the great variety of building designs across countries, which is in stark contrast to the relative homogeneity of shopping malls, apartment blocks or offices in the U.S.
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White papersNormalizing policy and market risks
The United States Federal Reserve (Fed) is faced with continued challenges as it seeks to manage both the cyclical and structural economic fallout from the pandemic and move beyond its ultra-accommodative policies.
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White papersInflation and supply chain disruption: Impact on the sectors
Inflation and supply chain disruptions, along with the moderating pace of the post-pandemic earnings recovery, have made us more cautious on corporate fundamentals as we enter Q3 reporting season. While we do not expect a material deterioration in credit profile on the back of these factors, the more challenging operating environment does require caution from credit investors.
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White papersMandating ESG disclosures really makes a difference
Here is the first in a series of regular articles on current academic research into a range of sustainable investment topics. The papers discussed were presented at the latest annual GRASFI conference.
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White papersMonitoring corporates against third-party ESG data providers
At Capital Group, using third-party data is only the beginning of how we monitor potential and current investments. All holdings are reviewed against third-party ESG scores to identify potential ESG risks.
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White papersThe key to change? - Top 10 with… Interview with REPM private markets experts on ESG investing
Institutional investors are increasingly recognizing the potential for ESG factors to affect the valuation and financial performance of their portfolios. The recent boom can be viewed as both an economic and ethical opportunity to draw together expertise across a wide range of real asset investments. Our experts provide a cross-asset view on how ESG investment is transforming the private markets space.
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White papersJapanese employment: engaging for greater equality – an update
A year has passed since we published a note exploring the long-standing issues around the under-representation of women within the Japanese labour force.
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White papersThe Recent Performance of ESG Investing, the Covid-19 Catalyst and the Biden Effect
The purpose of this paper is to appraise recent ESG trends in global equity markets. It contributes to a broader research project started at Amundi in 2014 on the relevance of ESG. Since the latest update in 2019, we have lived through a global pandemic that profoundly reshaped the global economy and society, and an eventful change of leadership in the United States.
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White papersESG Thema #4 - Investing in the Circular Economy : Closing the loop
Circular Economy can be defined as an economic system of trade and production which, at all stages of the product lifecycle, aims to increase the efficiency of resource use and reduce environmental impact while developing the well-being of individuals.(1)
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White papers5 trends driving the future of biotech
I am often asked about my outlook for biotechnology in light of how rapidly vaccines were developed for COVID-19. I would say this may be a sign of things to come for the industry. I’ve been seeing a renaissance that’s led to an explosion of novel drug targets in recent years.
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White papersCryptocurrency – the good, the bad and the ugly
Cryptocurrencies are moving into the mainstream, but present several risks that companies should consider. Joanne Beatty examines the key issues, including the environmental cost of cryptomining.
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White papersLessons from the EU: Development of the UK’s green taxonomy
The UK is creating its own green taxonomy. Ahead of the publication of its Green Finance Roadmap, Kate Fowler, Senior Responsibility Analyst, discusses the lessons that the UK can learn from the EU’s taxonomy development to ensure that the process runs smoothly
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White papersAre Europe’s oil and gas majors prepared for the climate change challenge?
In 2020 we saw what could prove to be a milestone year for the energy sector. Major oil and gas firms were finally willing to publicly address one of the industry’s main taboos – their contribution to climate change and their strategic efforts to address it.
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White papersCase Study: Avoiding cash drag using Equity Index futures
Cash is a necessary component of most investment portfolios. It’s present in a portfolio for operational reasons, including managing subscription/redemption flows and income streams such as dividends.
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White papersThe Worst Seems to Be Over…Now It Gets Complicated
Investors have shifted focus from the immediate COVID-19 threat to the prospect of a cyclical slowdown and secular stagflation.
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White papersShifts & Narratives #10 - China is finally emerging from the US’s shadow
Today, with developed market equities highly correlated and bond yields remaining subdued, investors are searching for other sources of income.
