Latest Manager Research – Page 366
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White papersInvestment View - Sudden stop, permanent scars
Six months ago our quarterly ‘Investment Views’ (Graph 1) lamented about the spread of the negative yield disease. In 2020 a far more dangerous and lethal epidemic has hit society, the economy and financial markets: the coronavirus. As we go to press, more than 1.2 million cases have been recorded globally (a number likely grossly under-estimated, given the under-testing), for a death toll of 65k.
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White papersA Shocking (But Complicated) Employment Report Next Friday
Unemployment will clearly skyrocket, yet the April Employment Report next Friday won’t tell the full story, and the impacts will differ by state and industry.
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White papersApril Macro Dashboard
Long gone are the tales of a V-shaped recovery as the U.S. economy has fallen rapidly into the steepest recession in recorded history. The European economy is experiencing a very sharp contraction as well. There are signs of hope as China’s economy appears to be stabilizing.
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White papersPE Investing at Turning Points in the Market Cycle
Shifting assets from public to private equity in and around recent major downturns has been a rewarding strategy.
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White papersFed determined to save U.S. economy … if it can
Over the past six weeks, the Fed has relaunched virtually all of its emergency liquidity programs used during the global financial crisis and started several more, all in the name of keeping the financial system functioning and helping the U.S. economy recover once the global economic shutdown is over. It used its April meeting as a status update for how its efforts have worked thus far.
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White papersSmart meters, smarter energy
By installing smart meters at more than 1,000 of its German properties, PATRIZIA is helping create a more flexible, sustainable energy grid.
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White papersCoronavirus – Weekly update – 29 April 2020
The COVID-19 caseload has now reached almost 3 million infected cases and there have been over 210 000 fatalities. The death toll is on the decline now in Europe and appears to have plateaued in the US, albeit at a high level. As always, we highlight that caution must be taken in interpreting the data in both the time series and the cross section, given the different approaches to measurement and testing across countries.
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White papersCovid-19: six signposts to assess the market
Our six key signposts will help inform your investment decisions.
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White papersFive themes to show where the COVID-19 crisis is heading
With over 3 million people infected worldwide (Worldometers as of 29th April 2020), the Covid-19 pandemic has created huge economic uncertainty and volatility. However, markets cannot wait for complete clarity on the outlook and, as asset managers, nor can we. Therefore, we have identified six key signposts to help navigate the Covid-19 crisis and make better-informed decisions.
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White papersGlobal Investment Views - May 2020
After closing one of the worst quarters ever for equity markets, Q2 started on a high note, with indices (S&P 500 and Euro Stoxx 600) recovering markedly from the bottom hit during the previous month. There is clearly a battle between bull and bear forces taking place.
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White papersRoads to recovery from the coronavirus crisis
Will the global economic and market recoveries chart a V, U, W or swoosh-shaped recovery from the coronavirus crisis – or take a completely different course?
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White papersReal estate: on the brink of transformational change
As the world copes with lockdown, our sense of space has been immediately and viscerally impacted. Offices sit empty, shops, hotels, pubs and restaurants are shuttered, and for many of us our home is now our castle. With markets responding in real time, what does the crisis mean for real estate?
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White papersThe TALF 2.0 Opportunity in Asset Backed Securities
During the 2008 – 10 financial crisis, the Federal Reserve’s Term Asset Backed Securities Loan Facility (TALF) enabled double-digit returns from high-rated ABS. What are the prospects under TALF 2.0, part of the Fed’s COVID-19 response?
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White papersTrends in Private Market Investing
Sean Ward looks at the trends that are emerging across buyout managers and how this is impacting investor sentiment.
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White papersRecovery Scenarios and Emerging Themes
Erik Knutzen shares insights on navigating the range of paths through the recovery and our playbook for capitalizing on investment themes.
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White papersCovid-19 & European Real Estate Markets What Happened And What To Expect
Covid-19 is now spread globally and quickly, it turned itself from a health emergency into an economic crisis. Governments are facing needs to find the equilibrium between health preservation and economic preservation as lockdowns, useful to preserve health, have a very high economic cost that could eventually even become a social cost.
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White papersCovid-19 Fixed income - Public credit - the end of beginning
Credit markets have continued to develop in recent weeks as participants digest events and various official intervention strategies, and consider the ramifications for taking credit risk in the future.
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White papersManaging Risk Models in the Coronavirus Crisis
The spread of the COVID-19 virus has blindsided conventional risk models. By understanding what went wrong, investors can develop a more forward-looking approach to risk management that considers multiple scenarios for a highly uncertain market environment.
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White papersMunicipal Bond Market Update
James Iselin, Neuberger Berman’s Head of Municipal Fixed Income, discusses the potential for a rise in delinquencies and defaults across the municipal bond market.
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White papersBalancing the carbon equation: how we are investing for a better climate
The climate crisis does not end at our coastline, it is a global emergency – and dealing with it requires coordinated action to safeguard the planet for future generations. In the latest Equitorial, we explain how our bespoke solutions can help meet investors’ climate change needs.
