Manager video
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Webinar
The countdown starts: US election results and market implications
As the US election results begin to unfold, they could have a major impact on markets and the economy.
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Webinar
China After the Stimulus
In our recent Spotlight on China webinar, we explored key insights on China’s market, including recent volatility, significant rallies, and the drivers behind these movements. Portfolio Manager Andrew Mattock examined the impact of government stimulus measures, such as monetary policy shifts and real estate stabilization efforts. Lastly, we discussed the sustainability of the recovery, touching on challenges like weak consumer confidence and geopolitical tensions.
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Webinar
Modi 3.0: A New Dawn for Indian Equities?
India’s Prime Minister Narendra Modi’s first two terms saw significant growth in Indian equities, driven by bold economic reforms and a pro-business stance, and attracting both domestic and international investors alike. As we look ahead, the question arises: Can a third term, marked by a weakened PM reliant on a coalition government, build on this performance?
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Webinar
Webinar: wind and solar enhanced maintenance technologies and advances with data
How is the use of artificial intelligence impacting the clean energy infrastructure industry? Watch Nuveen Infrastructure’s recent webinar where we discuss the use of big data and AI in asset management, the underlying trends affecting renewables infrastructure maintenance and the wealth of benefits that effective maintenance can bring to a renewables portfolio.
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Webinar
Webinar Replay - Road To Recession? Riding Out Tightening Credit Markets
The global economy has been resilient against a variety of headwinds, underpinning a recovery in risk assets. Despite optimism over a soft landing, the threat of recession remains in play. Elevated levels of inflation, higher interest rates and stricter lending standards are keeping up the pressure on consumers and businesses. Facing this uncertainty, investors need a playbook for riding out tightening credit markets.
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Webinar
Webinar Replay - Credit Risks Amid Deteriorating Lending Standards?
Non-bank lenders and institutional investors have adopted a much larger role in financing the economy since the global financial crisis. The emergence of a higher-for-longer regime has brought new momentum behind private credit’s growth as an asset class, with investors searching for diverse opportunities to capture yield. But a credit-risk approach that looks at private credit separately from public is no longer suitable due to the growing overlap between the two segments.
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Webinar
Webinar replay : The evolution of convenience culture and property markets
Register to watch the webinar replay of Nuveen Real Estate’s Head of U.S. Retail and Mixed-Use, Katie Grissom, on the discussion of the retail comeback, how consumers are shaping the future of retail and the resilience of property fundamentals with moderator Wendy Pryce, Lead U.S. Real Estate Specialist.
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Webinar
Mid-Year Market Update on India and China
In this webinar, we delve into the mid-year outlook for India and China, two emerging markets with contrasting equity performances in 2024. Matthews’s CIO Sean Taylor and Portfolio Managers Winnie Chwang and Swagato Ghosh explore the reasons to be optimistic about India’s prospects despite its high equity valuations and examine China’s potential as it holds its key third plenum gathering. They also discuss potential catalysts and risks for both countries.
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Webinar
Exploring Investment Opportunities in Latin America
In this webinar, Matthews CIO Sean Taylor and Portfolio Manager Jeremy Sutch dive deep into the investment opportunities of Latin America, sharing their insights on the reasons behind weak market performance year-to-date, the long-term structural case for investing in Mexico and Brazil, and the near-term catalysts that could warrant increased exposure to the region.
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Webinar
Navigating the New Terrain: Exploring the Impact of Rising Interest Rates on Asset Classes and Market Dynamics
As interest rates climb, investors are faced with myriad challenges and opportunities across different asset classes. From equities and bonds to commodities and real estate, each asset class reacts uniquely to fluctuations in interest rates. Our expert panel will analyze the current market trends and provide valuable insights into the implications for risk assets.
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Webinar
The compelling case for private credit: watch the webinar
Discover the growth opportunity in the private debt market, one of the fastest-growing segments in the capital markets. During the session, Rodrigo Trelles, Co-Head of O’Connor Capital Solutions, will provide insights into current opportunities and discuss what sets our strategy apart from competitors.
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Webinar
Webcast – Unpacking recent global economic trends
In this second webcast in our Global Macro Views series, economists from our Macro Research & Investment Strategy team give their views on topics including the outlook for a resilient US economy and the effects of November’s election on interest rate policy. They discuss the signs of an economic pick-up in the eurozone economy and the chances of growth in China hitting Beijing’s 5% target.
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Webinar
Infrastructure Debt in 2024: watch the webinar
Where does the sweet spot for infrastructure debt in 2024 lie? Watch the webinar to find out
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Webinar
Market Perspectives Webinar - Global real estate: Approaching the turn replay
With interest rates falling and global growth stabilising, opportunities are emerging in global real estate. Watch the replay to hear from Macquarie Asset Management’s panel of experts as they discuss the outlook and how investors should position their portfolios to take advantage of current market pricing.
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Webinar
Webcast – The global macroeconomic outlook for 2024
In this webcast, economists from our Macro Research & Investment Strategy team give their views on the economic situation and outlook for China, the US, the eurozone, the UK and emerging markets.
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Webinar
Global Debt Funding Gap Webcast: “Everything is Relative”
Our recent webcast “Everything is Relative” brings together AEW’s research heads from around the world to explore the global debt funding gap. The team look to explore the scale of the debt funding gap globally, and how this compares across regions. They also examine when the refinancing problems could ease.
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Webinar
Navigating Emerging Markets Through the Ballot Boxes
Join us on Thursday 1 February, as Yerlan Syzdykov, Global Head of Emerging Markets and Anna Rosenberg, Head of Geopolitics for Amundi Investment Institute, assess how geopolitical shifts could impact emerging markets, dive into market trends and explore the investment opportunities that are shaping the asset class.
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Webinar
Webinar | Macro outlook for Asian and emerging market fixed income
Watch the replay of our webinar: Macro outlook for Asian and emerging market fixed income.
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Webinar
Outlook 2024
The leaders of our investment platforms welcome the new year with their views for 2024.
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Webinar
Webinar | rethink net zero: investing in the transition
Watch the replay of our webinar: rethink net zero: investing in the transition