Latest White Papers – Page 302

  • Global Emerging Markets - ESG Materiality, Q4 2019
    White papers

    Global Emerging Markets: ESG Materiality, Q4 2019

    2020-02-20T10:30:00Z By Federated Hermes

    Welcome to the Global Emerging Markets’ ESG Materiality commentary – a quarterly publication that demonstrates our engagement activity with portfolio companies and showcases holdings that are creating positive impact aligned to the Sustainable Development Goals. In addition, we explore an environmental, social and governance (ESG) theme and its implications for the asset class.

  • Seeking riches with the tide far out 360°, Q1 2020
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    Seeking riches with the tide far out: 360°, Q1 2020

    2020-02-19T10:26:00Z By Federated Hermes

    What is our current view of fixed-income markets? And where do we see the best relative value? In our latest edition of 360°, Andrew ‘Jacko’ Jackson, Head of Fixed Income, and his team of specialist investors considers the areas that have the potential to deliver superior risk-adjusted returns.

  • Impact Report, Q4 2019
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    Impact Report, Q4 2019

    2020-02-18T10:22:00Z By Federated Hermes

    How do we ensure a sustainable food supply for future generations? In our Q4 2019 report, we explore one of the biggest quandaries of our generation – finding solutions to build a sustainable food system that can feed a growing global population and safeguard the planet.

  • Amplified: Fixed income markets in the new decade
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    Amplified: Fixed income markets in the new decade

    2020-02-18T10:09:00Z By Federated Hermes

    In this episode of Amplified, Eoin Murray, Head of Investment and Andrey Kuznetsov, Senior Credit Portfolio Manager, take a look at the new decade for fixed income markets.

  • What can we expect from CEE4’s recent data?
    White papers

    What can we expect from CEE4’s recent data?

    2020-02-18T10:09:00Z By Amundi

    We do not have yet the details regarding GDP components but looking at hard data gives us some insights. In Czech, for instance, we assume that the main driver of growth in Q4 has been private consumption as retail sales, industrial production and services remained positive while the manufacturing sector shrank. Similarly, in Poland, while industrial production and retail sales were strong on the last quarter of 2019, construction sector collapsed. 

  • Unlevered Infrastructure Equity - Delivering in CDI
    White papers

    Unlevered Infrastructure Equity: Delivering in CDI

    2020-02-17T14:53:00Z By Aviva Investors (Real Estate)

    Cashflow-driven investing (CDI) generates predictable, attractive cash flows to meet liabilities when they fall due. Although a wide range of reliable, income generating assets can be included within a CDI strategy, discussions about which alternative asset classes to include are often limited to private debt, particularly infrastructure and real estate financing. 

  • Private credit - Middle market opportunities to meet today's challenges
    White papers

    Private credit: Middle market opportunities to meet today’s challenges

    2020-02-17T11:18:00Z By Nuveen

    Private credit has historically been an attractive investment.

  • New institutional investor insights - 20:20 vision - a clearer path for growth
    White papers

    New institutional investor insights - 20/20 vision: a clearer path for growth

    2020-02-17T11:10:00Z By Nuveen

    Diversification and selectivity will become ever more important in 2020 and beyond, especially as we think yields will remain low, returns will be tough to come by and volatility may rise. That means getting more exposure to more opportunities and more risks across asset classes, while remaining nimble.

  • Revisiting China’s Equity Markets as Coronavirus Spreads
    White papers

    Revisiting China’s Equity Markets as Coronavirus Spreads

    2020-02-17T10:24:00Z By AllianceBernstein

    Growing fears about the coronavirus have hit Chinese stocks. While markets will remain unstable until China gets the outbreak under control, equity investors should revisit lessons from previous epidemics and consider the potential longer-term effects of the current crisis.

  • The Data Science Revolution
    White papers

    The Data Science Revolution

    2020-02-14T09:55:00Z By Neuberger Berman

    How the new richness and accessibility of data, and advances in data science, are enhancing both quantitative and traditional fundamental investment research—and sparking a revolution in active management.

  • Global Emerging Markets - 2020 country allocation review
    White papers

    Global Emerging Markets: 2020 country allocation review

    2020-02-12T15:51:00Z By Federated Hermes

    Monetary easing and a pause in trade tensions helped global growth turn a corner at the start of this year. While the structural growth story for emerging markets remains intact, a potent mix of challenges remain – including the coronavirus, which should depress activity for the first half of this year. Here, we consider our 2020 country allocations for global emerging markets.

  • Life after LIBOR - Two Years and Counting
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    Life after LIBOR: Two Years and Counting

    2020-02-12T09:50:00Z By Neuberger Berman

    An update on what regulators, markets and Neuberger Berman have been doing to prepare for the transition from LIBOR.

  • The Paris climate targets require investors to act
    White papers

    Blog: The Paris climate targets require investors to act

    2020-02-11T11:46:00Z By BNP Paribas Asset Management

    On the subject of achieving the Paris climate targets, Jane Ambachtsheer, Head of Sustainability at BNP Paribas Asset Management, is forthright. She says the world will not hit the mark of capping global warming at 1.5 degrees Celsius if we wait for governments to act. That judgment helps explain BNPP AM’s drive to ensure that investments contribute to attaining the climate goals.

  • IG Credit - The Hidden Risks of “Safe” Bond Strategies
    White papers

    IG Credit: The Hidden Risks of “Safe” Bond Strategies

    2020-02-11T09:41:00Z By Barings

    Traditional investment grade bond strategies are meant to help their owners sleep at night. But hidden credit and interest rate risks make benchmark-hugging more hazardous than many realize. Counterintuitively, CLOs, ABS and EM debt may be part of the solution.

  • Volatility Is Not Risk
    White papers

    Volatility Is Not Risk

    2020-02-11T09:33:00Z By Barings

    The investment industry uses the terms ‘risk’ and ‘volatility’ almost interchangeably, though they aren’t exactly the same thing. In this piece from Portfolio Advisor, Barings’ Daryl Lucas explains why differentiating between the two is important.

  • ESG Investing In Corporate Bonds - Mind The Gap
    White papers

    ESG Investing In Corporate Bonds: Mind The Gap

    2020-02-10T10:12:00Z By Amundi

    This research is the companion study of three previous research projects conducted at Amundi that address the issue of socially responsible investing (SRI) in the stockmarket (Berg et al., 2014; Bennani et al., 2018a; Drei et al., 2019). The underlying idea of this new study is to explore the impact of ESG investing on asset pricing in the corporate bond market.

  • Brexit Still Weighs On GBP, But The Situation On Rates And Equity Could Normalise
    White papers

    Brexit Still Weighs On GBP, But The Situation On Rates And Equity Could Normalise

    2020-02-10T09:22:00Z By Amundi

    Now that the United Kingdom is officially out of the EU, a new phase has opened up, during which UK officials will have to negotiate a trade deal with the EU to avoid a ‘Brexit cliff edge’ at the end of 2020. The available time span is short, but an agreement is possible on either a trade deal, another extension or some mixture of the two.

  • Turkey - Inflation And Monetary Policy
    White papers

    Turkey: Inflation And Monetary Policy

    2020-02-10T09:09:00Z By Amundi

    January’s inflation report and last inflation figures: The Governor of the CBRT debriefed last week on the first inflation report of the year January inflation figure released at 12.15% yoy, higher than in December (11.84%). The rise in housing, electricity and energy were the main drivers pf this increase. ...

  • Sustainable investing in Europe - Why putting a label on it really matters
    White papers

    Blog: Sustainable investing in Europe: Why putting a label on it really matters

    2020-02-07T11:37:00Z By BNP Paribas Asset Management

    The labels that independently certify sustainable investment strategies in Europe are by no means new – in fact, they have multiplied and been expanded in recent years. Cynics may view such labels as bureaucratic meddling that adds unwanted hassle and cost. Far from it.

  • Coronavirus & The Next Global Financial Crisis
    White papers

    Coronavirus & The Next Global Financial Crisis

    2020-02-07T09:51:00Z By Barings

    The actions, both real and perceived, taken by China’s government to contain the coronavirus should serve as an indication of how authorities there would (or wouldn’t) respond to a future financial crisis and contagion of a different kind in the global economy.