Latest Manager Research – Page 63
-
White papers
Emerging Market Green Bonds - Report 2022
The year 2022 proved a challenging one for international capital markets. For only the fifth time in the last 100 years, U.S. Treasuries and the S&P 500 both ended the year lower than where they started.
-
White papers
Strike (Big) 3?
A potential U.S. auto strike has significant implications for the economy, earnings and inflation.
-
White papers
Expect a Few Bumps, but No Accidents, in Auto ABS
In this paper, the Liquidity Solutions team defines benefits of holding asset-backed securities (ABS) in fixed-income portfolios and focuses on the attractive fundamentals of automotive sector ABS in today’s markets.
-
White papers
GCC/MENA Bond Market Update: Fixed income markets remained volatile in August
Fixed income markets remained volatile in August. In the US, US Federal Reserve (Fed) Chair Powell spoke at the Jackson Hole Economic Symposium, reiterating the central bank’s data dependence but also highlighting that if the economy does not cool as expected further monetary policy tightening may be warranted.
-
White papers
Eurozone commercial real estate reset creates opportunities for debt investors
The sharp rise in interest rates over the last year has lowered valuations and led buyers to demand higher yields when acquiring commercial property. Banks have increased their scrutiny and caution, reducing loan-to-value funding ratios. While there is still demand from borrowers, especially for refinancing maturing debt, the amount of debt offered by banks per square metre is lower. We believe this environment presents an attractive opportunity for investors.
-
White papers
Private credit & private equity: Decision drivers for today’s markets
The private capital industry has seen a surge in popularity among investors seeking stability in the face of public market volatility, recession fears, and banking sector turmoil. Private capital not only provides the potential for attractive income and returns but also serves as a less correlated portfolio diversifier, generally with lower mark-to-market volatility than the public markets.
-
White papers
The future of private credit
Private credit is now widely recognized as an alternative asset class that can deliver stable, uncorrelated returns for institutional investors.
-
White papers
CLO equity: Where does it fit in investor allocations?
Choosing the right “bucket” for CLO equity is critical for investors seeking to optimize portfolio allocations
-
White papers
Size matters for Arcmont and Churchill
In this latest Insight with Private Debt Investor, Arcmont and Churchill’s CEOs discuss their expanded expertise, global presence and how the combined $67 billion private capital platform will provide the size and scale for the two private debt managers to deliver new products and capabilities for its combined 600+ investor base across the globe.
-
White papers
The whys and hows of impact investing
Impact strategies are becoming more commonplace as investors push for greater change through their investments. With many institutional investors, consultants and wealth managers looking to meet client demands for impact investing, we explore what it is and what it brings to a diversified portfolio.
-
White papers
Is emerging market private equity the most effective way to invest for impact?
Kicking off a debate over how best to make meaningful change through investment, we explore private equity’s unmatched ability to deliver capital to the places it’s needed most.
-
White papers
Equity markets frustrate both bulls and bears
Despite some wavering in May, global equity markets have generally remained resilient year-to-date. Most major indexes have held on to gains made in the first quarter of 2023, when markets overcame volatility driven by bank failures in the U.S. and Europe.
-
White papers
Innovation in impact bonds
The growth and innovation in the impact bond market has unlocked new opportunities for investors to provide capital for projects that have a positive social and/or environmental impact while generating competitive returns.
-
White papers
Is China falling into deflation?
China’s headline consumer price index fell by 0.3% year-on-year in July to register deflation for the first time in two years. This figure raised concerns that falling prices would lead consumers to delay spending in an already weakening economy. However, in our view, the data is not a harbinger for prolonged deflation.
-
White papers
Decarbonising the energy infrastructure ecosystem
Since launching Nuveen’s North American energy infrastructure credit platform in November 2022, Don Dimitrievich spoke with PDI about the compelling opportunity for infrastructure debt lending in North America, and why he believes managers who understand the entire energy infrastructure ecosystem, and have experience investing through credit cycles, will be best positioned to deliver the most attractive risk-adjusted returns for investors.
-
White papers
Hydrogen 101: the uses, the costs and the opportunity
What does the opportunity around hydrogen look like? Our experts at Schroders Greencoat explain in this Q&A.
-
White papers
Unlocking real estate opportunities: Now is an opportune time to invest in private real estate
Paul Guest, Senior Portfolio Manager, talks to Real Estate International Europe on investing in private markets and real estate interview.
-
White papers
Not all yield-curve steepenings are alike
End-of-cycle periods come and go, and they all tend to resemble each other. Inflation that exceeds central-bank targets legitimises increases in short rates, leading to long rates rising in anticipation. This opens the door to the prospect of different kinds of ‘steepenings’. In this weekly instalment of Simply put, we investigate the current outlook for the yield curve.
-
White papers
Deals delayed and crowded trades…. but can investors still find value in infrastructure debt
Private infrastructure debt still offers a broad spectrum of opportunities, but investors face complex challenges. In this Q&A, our infrastructure debt team contemplate the current state of the market and where it goes from here.
-
White papers
UK Stewardship Code: LOIM confirmed as signatory for 3rd year
For the third consecutive year, LOIM has qualified as a signatory to the UK Stewardship Code, which sets high standards for reporting on the outcomes and integrity of the engagement, proxy voting and policy advocacy exercised by asset owners and investment managers.