Latest White Papers – Page 360
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White papersHow China rules the waves
FT investigation: Beijing has spent billions expanding its ports network to secure sea lanes and establish itself as a maritime power. Pakistan’s Arabian Sea port of Gwadar is perched on the world’s energy jugular. Sea lanes nearby carry most of China’s oil imports; any disruption could choke the world’s second-largest economy.
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White papersAsia’s markets appear set to withstand US rate rises
Bond and currency markets have strong fundamentals and look ready to ride the US interest rate cycle comfortably.
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White papersAsian fund passports’ slow progress
While passports are likely to accelerate growth in the local fund industry, national interests are hindering their development.
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White papersAlternative Risk Premia: what do we know?
In a challenging low yield environment, rethinking traditional asset allocation strategies is a common challenge for investors and asset owners in order to diversify their portfolio and capture new sources of returns.
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White papersIn Credit: Prague-matic central bank removes currency cap
A combination of mixed US economic data, Trump’s missile strike in Syria, headlines around the US and North Korea and news of attacks in Russia and Sweden all served to keep a lid on core government bond yields over the week.
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White papersCross Asset Investment Strategy: April 2017
The Trump effect, the Brexit effect, and the impact of European elections… What if everyone – or nearly – were wrong?
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White papersFrench Presidential Elections: French public debt - liquid and safe
France’s debt-to-GDP ratio stabilized until 2015, slightly under the threshold of 100%.
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White papersIn Credit: You can check out any time you like...but can you ever leave?
Deutsche Bank notes that global economic surprises have reached a six and a half year high globally, which continues to support risk assets.
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White papersNavigating MiFID II: Winning in the new regulatory environment
With only eight months until the Markets in Financial Instruments Directive (MiFID II) comes into effect on 3 January 2018, everyone across the industry has their heads down working hard on solutions to the challenges and opportunities presented by the new regulation.
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White papersAviation finance: an interesting prospect for long-term investors
A sustained low-yield environment and demanding regulatory requirements have placed considerable pressure on insurance companies and pension schemes over the last few years. In response, investors have looked to less liquid, alternative investments that offer a higher risk-adjusted return.
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White papersSecured Finance: Can extra yield be obtained without sacrificing credit quality?
Investors may not have to look towards the lower end of the credit ratings spectrum in order to earn higher yields than those currently avail- able in investment grade corporate bonds.
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White papersAre Europe’s dog days over?
Boasting a broadly improving macroeconomic environment, the prospects for Europe are on the turn. What’s more, the investment case for the region is too good to ignore, explains Ian Ormiston, manager of the Old Mutual Europe (ex UK) Smaller Companies Fund.
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White papersLiability Aware Investing
Our purpose at LGIM is to carefully manage the risk that pension funds need to take in order to pay pensions. Over the past 15 years we have become the UK’s largest LDI manager and currently help 32% of all DB schemes1 manage their major risks (inflation and interest rates) with LDI strategies. We have also been helping many schemes use different strategies to bridge their funding gaps.
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White papersEmerging Markets Debt: Issuer Selection is Key
The focus of the capital markets is shifting back to investments in the emerging markets debt space. Greater political and economic stability, the reduction of current account deficits and the recovery of commodity prices are just some of the arguments in favour of emerging markets (EMs). Future US policy is creating uncertainties, but EM fixed income investments continue to offer plenty of potential.
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White papersAsset Allocation Monthly: March 2017
Global equity markets are near all-time highs, bond markets are relatively calm, and currency volatility is reasonably low.
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White papersAre Bond Investors Ready for a World Without QE?
Britain’s decision to start its divorce from the EU and France’s looming presidential election are injecting political risk back into markets. Bond investors are braced for political volatility. But are they ready for big monetary policy changes?
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White papersBooming non-farm beats budget boredom
This update is the weekly edition of our weekly publication on fixed-income markets.
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White papersThreadneedle UK Social Bond Fund: three years of doing well by doing good
Following its third anniversary, in January 2017, the fund has shown it can offer investors both profit and principle.
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White papersThe long march to higher interest rates
Jim Cielinski argues that while the bond bubble has burst, it remains to be seen how quickly the fallout may spread.
