Latest Manager Research – Page 72
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White papersBond markets in focus amid growth concerns
“With tariff uncertainty affecting market expectations and consumer confidence, bonds are back as a key diversification* engine for global investors.”
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White papersCan US high yield offer respite from the uncertainty?
After posting 8.2% return in 2024, the US High Yield market has proven to be very stable so far in 2025, despite various headlines with the potential to move markets on both the macro and geopolitical front.
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White papersThe Long-Awaited Renaissance of European Retail
Despite ongoing uncertainty, real retail sales in the Eurozone are projected to grow modestly at 1.7% p.a., outpacing both 1.4% p.a. real GDP and 1.0% p.a. real disposable income growth over the 2025-29 period.
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White papersAntitrust Angst
Does the retention of the Biden-era M&A guidelines raise more doubts about the new U.S. administration’s pro-business agenda?
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White papers2024 Proxy Season in Review
For the fifth consecutive year, Neuberger Berman continued our tradition of active engagement in an effort to enhance shareholder value and manage risk for our clients.
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White papersRatings Renaissance in Emerging Market Corporates
In a dynamic environment, we believe emerging market corporate credit ratings should show continued improvement.
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White papersHidden Value: Tax-Loss Harvesting in Up Markets
Selling for tax purposes is not just viable during periods of market weakness.
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White papersEmerging Markets Debt Restructurings: A Year of Resilience and Innovation
Between 2017 and 2022, 11 Emerging Markets (EM) sovereigns defaulted, representing approximately 15% of the Emerging Markets Bond Index (EMBI) weight taken 12 months prior to default.These defaults can be categorized into three distinct groups based on the catalysts that drove each country into default: pre-COVID self-induced, COVID-induced, and war-induced.
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White papersMacro Monthly: American ‘Un’-exceptionalism?
Cracks have emerged in the US exceptionalism theme, with the S&P 500 index flat this year compared to the All Country World ex US index’s 6% performance. Markets such as the Eurostoxx 50 and MSCI China are up 11% and 18%, respectively, in just two months.
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White papersThe Year of the Snake: Our outlook for China in 2025
As China enters 2025, its economic future will be influenced by market trends, policy changes, and the implications of Trump’s presidency. Hear from our China Equity team as they explore the key developments shaping markets and what investors should expect moving forward.
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White papersGlobal Emerging Markets Equity Outlook 2025
We believe three megatrends – digitisation, climate change, and demographics – will drive change in the global economy and business landscape for years to come. In this report we outline how we have invested in companies that we expect to benefit from this transformation.
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White papersHow project finance fits into a trade finance strategy
Project finance is a natural complement to trade finance, offering enhanced diversification and attractive risk-adjusted returns.
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White papersChina’s ‘Sputnik moment’
China’s tech sector is surging, fuelling a broader market rally that has grabbed investor attention. With top Chinese companies taking a lead in innovation, the country is gaining influence in cutting-edge industries like AI. Can it sustain the momentum?
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White papersEOS 2024 Annual Review
EOS publishes 2024 Annual Review, with full engagement and voting highlights.
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White papersEverything you wanted to know about tariffs and trade finance
A new trade war between the US and China could have unexpected consequences.
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White papersWhat Does the DeepSeek Halo Teach Us About Chinese Stocks?
The AI breakthrough spotlights some of China’s distinctive features that deserve closer attention from investors.
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White papersIs a Functional Approach to Outsourcing the Way Forward?
CFOs and finance leaders are under growing pressure to reduce administrative costs while managing increasingly complex operations. Since 2008, the financial landscape has changed significantly. Portfolios have become more diversified, the number of funds and Special Purpose Vehicles (SPV) has increased, and regulatory requirements have expanded. At the same time, investors demand greater transparency and faster reporting, while fund managers require more detailed financial projections, budgets, and scenario analyses to navigate market uncertainties.
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White papersListed Real Estate and Cost of Debt: Prudent Optimism
In recent months, most central banks across Europe have shifted from a hawkish stance to a more accommodative monetary policy, marking the beginning of an interest rate-cutting cycle. In the Eurozone, after an intense period of rate hikes in 2022 and 2023, the ECB implemented four 25-basis-point cuts in 2024.
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White papersAffordable housing: how modular construction is changing the game - Interview with Stefanie Lütteke and Simon Dietzfelbinger
The housing market is under immense pressure with skyrocketing rents, rising property prices, and a particularly tight situation in metropolitan areas and for low-income earners. How can we overcome this crisis and achieve affordable housing? Is it a matter of politics, or do technical solutions also hold the key?
