Outlooks – Page 99

  • April Macro Dashboard
    White papers

    April Macro Dashboard

    2020-04-29T14:43:00Z By Barings

    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.

  • PE Investing at Turning Points in the Market Cycle
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    PE Investing at Turning Points in the Market Cycle

    2020-04-29T13:30:00Z By Neuberger Berman

    Shifting assets from public to private equity in and around recent major downturns has been a rewarding strategy.

  • Coronavirus – Weekly update – 29 April 2020
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    Coronavirus – Weekly update – 29 April 2020

    2020-04-29T08:49:00Z By BNP Paribas Asset Management

    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.

  • Five themes to show where the COVID-19 crisis is heading
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    Five themes to show where the COVID-19 crisis is heading

    2020-04-29T08:41:00Z By BNP Paribas Asset Management

    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.

  • Global Investment Views - May 2020
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    Global Investment Views - May 2020

    2020-04-28T15:53:00Z By Amundi

    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.

  • Roads to recovery from the coronavirus crisis
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    Roads to recovery from the coronavirus crisis

    2020-04-28T15:19:00Z By Federated Hermes

    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?

  • Trends in Private Market Investing
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    Trends in Private Market Investing

    2020-04-28T13:23:00Z By Neuberger Berman

    Sean Ward looks at the trends that are emerging across buyout managers and how this is impacting investor sentiment.

  • Recovery Scenarios and Emerging Themes
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    Recovery Scenarios and Emerging Themes

    2020-04-28T13:20:00Z By Neuberger Berman

    Erik Knutzen shares insights on navigating the range of paths through the recovery and our playbook for capitalizing on investment themes.

  • Covid-19 Fixed income - Public credit - the end of beginning
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    Covid-19 Fixed income - Public credit - the end of beginning

    2020-04-27T15:39:00Z By M&G Investments

    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.

  • Municipal Bond Market Update
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    Municipal Bond Market Update

    2020-04-27T13:16:00Z By Neuberger Berman

    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.

  • Opportunity In Credit Fixed Income Investment Outlook 2Q 2020
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    Opportunity In Credit Fixed Income Investment Outlook 2Q 2020

    2020-04-27T12:38:00Z By Neuberger Berman

    In the wake of the COVID-19 pandemic, the fixed income markets experienced unprecedented shocks, which drove down yields on many government bonds and sharply widened credit spreads. Amid compromised global growth and historic levels of monetary stimulus, we anticipate a potentially long period of zero (or negative) policy rates, with central banks increasingly buying higher-quality assets. With that in mind, we see a compelling opportunity in credit spreads, with an initial focus on quality securities in central bank-supported sectors broadening out to take on more risk as the pandemic runs its course.

  • Market weekly – Chinese equities – ahead of the curve
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    Market weekly – Chinese equities – ahead of the curve

    2020-04-27T08:37:00Z By BNP Paribas Asset Management

    Year to date, the Chinese market is one of the best performing equity markets globally. Can such performance be sustained for the rest of 2020, however? Senior investment strategist Daniel Morris discusses the outlook with Caroline Yu Maurer, Head of Greater China Equities and Chi Lo, Senior Economist for Greater China, both from our Hong Kong office.

  • Market Commentary - Coronavirus shockwave hits oil complex
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    Market Commentary - Coronavirus shockwave hits oil complex

    2020-04-27T08:35:00Z By Generali Investments

    As we enter the final week of April the total number of coronavirus cases is growing at about 3% per day. This is a marked slowdown from the peak reached in late March, around 12%. Yet in absolute terms, the number of new daily cases has only been plateauing, at around 80,000 globally

  • Futures Shock
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    Futures Shock

    2020-04-26T13:37:00Z By Neuberger Berman

    Amid unprecedented market dislocations and uncertainty, preparing playbooks for a range of outcomes can help us stay nimble and adaptive.

  • Covid-19 update - European high yield market moves
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    Covid-19 update: European high yield market moves

    2020-04-24T15:49:00Z By M&G Investments

    An influx of ‘fallen angels’, which are issuers downgraded to junk bond status by the credit ratings agencies, has impacted European credit markets as a result of the economic fallout from the coronavirus. The movement of these names into European high yield (HY) credit indices has somewhat compensated for ...

  • Investment Lessons From Horror Movies
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    Investment Lessons From Horror Movies

    2020-04-24T14:51:00Z By Barings

    Recovering markets may offer a few signals about what lies ahead.

  • Private Debt Through the Crisis
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    Private Debt Through the Crisis

    2020-04-24T13:12:00Z By Neuberger Berman

    Susan Kasser explores the themes that remain consistent in private debt portfolios through the crisis and those that will likely reassert themselves following the dislocation.

  • Market Volatility | Closing Bell Insights
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    Market Volatility | Closing Bell Insights

    2020-04-24T13:03:00Z By Neuberger Berman

    On this episode of Closing Bell Insights, Stephanie B. Luedke, Head of Private Wealth Management joins Joseph V. Amato, President and Chief Investment Officer of Equities, as he shares an update on the current equity market environment and discusses what to potentially expect from an economic “restart”.

  • European private debt - shifting dynamics
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    European private debt: shifting dynamics

    2020-04-24T10:52:00Z By M&G Investments

    This paper examines the main sources of deal flow across Europe’s broad and dynamic private debt markets in 2019, highlighting some of the key observations or themes influencing deal activity in different parts of the market. It discusses the broad themes that we believe are key to investing in private debt and can help well-positioned lenders access and align opportunities that can deliver the specific outcomes sought by investors. The Covid-19 pandemic has created unprecedented uncertainty, but even during this time it’s important not to lose sight of the long term.

  • Oil - Demand on Remand
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    Oil: Demand on Remand

    2020-04-23T16:01:00Z By BNP Paribas Asset Management

    Mark Lewis, Global Head of Sustainability Research and Richard Barwell, Head of Macro Research at BNP Paribas Asset Management discuss the potentially lasting impact that Covid-19 and global lockdown is having on oil demand: