Outlooks – Page 26
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White papers
Meet the Manager: Sandy Pei
In this latest manager profile, we spoke with Sandy Pei, Portfolio Manager for the Asia ex-Japan and China Equity strategies, to learn more about her career beginnings, the team’s value-conscious approach to investing, and why she likens fund management to treasure hunting.
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Collapse frequency: deposits, liquidity, and the new bank-body problem
A rash of US banking collapses has raised fears of system-wide deposit emissions. Fiorino quantifies the issue…
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Private Markets in Volatile Times
Recent market turbulence provides yet another example of how private equity managers have improved their ability to weather volatile conditions.
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Plastic has a bright and sustainable future
Plastic has an image problem. This 19th-century invention has acquired a negative reputation because of our wasteful economic model, but plastic is a valuable resource – and the industry has a vital role to play in the sustainability transition. Thankfully, a lower carbon, circular plastics model is taking hold, bringing many opportunities for investors.
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Why are we waiting?: Time for UK infrastructure to pick up pace - Aviva Investors
After a slow start to the year, Darryl Murphy ponders what it will take to get the UK infrastructure market moving again.
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One of the Top Reasons for Retiring Early: Unexpected Job Loss
An important and difficult decision that workers face is when to retire. In a research study by Allspring, nearly half of retirees retired earlier than expected. That can have major consequences.
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Taking a Time Out? The High Price of Idle Cash
Parking your fixed-income assets in cash may seem like a safe choice in today’s volatile investing environment, but it’s actually a risky proposition. Here are three reasons why sitting on the sidelines can be a dangerous game.
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European ABS: Sailing through banking-induced volatility?
At the beginning of the year, few investors would have predicted that collapses in the banking sector would trigger the next bout of volatility and lead to a significant shift in the trajectory and velocity of monetary policy. The failure of three US regional banks and the rescue of Credit Suisse by UBS, which saw CS AT1 bonds fully written down, has led investors to re-evaluate the level of risk premia required to compensate for taking subordinated exposure particularly within the banking sector.
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White papers
Age of AI
Artificial Intelligence (AI) is a key pillar of the digital transformation theme, which is driving significant disruption and spurring new growth. Grant Bowers, portfolio manager with Franklin Equity Group, offers a unique perspective of the challenges and benefits of this evolving and disruptive technology.
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White papers
In a soft landing we trust – right?
In the latest instalment of Simply put, where we make macro calls with a multi-asset perspective, we explore the scenarios underlying different markets, as well as their one commonality: the anticipation of a soft landing. What are the implications for portfolios?
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White papers
Learnings from Earnings: Macro Crosscurrents Make Growth Elusive
Markets are being shaped by disparate trends from falling energy prices to rising interest rates. During first-quarter earnings season, company reports indicated that these crosscurrents are intensifying business challenges—and making it harder for investors to find resilient sources of growth.
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What ‘Data-Dependent’ Feels Like
As central banks become more “data-dependent,” will monetary policy become less predictable and markets potentially more volatile?
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White papers
CIO views: positioned for a credit crunch?
One fallout from the banking crisis is less credit flowing to the economy amid general risk aversion. What ramifications could tighter lending conditions have on growth and companies? Our CIOs consider how to best position for a potential credit crunch and what attractive options exist other than reducing exposure to risk assets.
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White papers
New Pension Standards in Effect
New disclosures are in effect for pension plans. This marks a change for public plan sponsors in particular who should understand the new valuation measure, as we believe there are implications for pension bond portfolios.
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White papers
Public Engagement Report Q1 2023
The Q1 Public Engagement Report from EOS at Federated Hermes takes an in-depth look at the impact that cattle ranching is having on the Amazon rainforest. Plus, how EOS engages with companies on sexual harassment in the workplace, and why climate accounting is under scrutiny this voting season.
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White papers
Mercedes-Benz case study
In seeking to understand the alignment of the company’s public policy positions on climate change with that of the lobbying carried out by the company, we received written assurance that Mercedes would review its associations’ lobbying activities and publish a report.
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White papers
Volkswagen case study
Following the 2015 emissions scandal, we have engaged with Volkswagen through numerous meetings, vote recommendations and a site visit. In that time, it has undertaken a comprehensive integrity project to improve its company’s culture.
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White papers
Asset Class Return Forecasts - Q2 2023
The effect of the fast-paced Quantitative Tightening (QT) embraced by Developed Market (DM) central banks (CB) is materialising across two fronts: price dynamics and financial stability.
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White papers
Fintech has changed finance forever. What comes next?
The disruption caused by fintech has been profound. How will digitalisation continue to alter the financial services landscape? We explore this in the Q2 issue of Futureturns, our quarterly report on trends investing in equity markets.
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White papers
The Bank of England Buys Itself Time
The Bank of England unsurprisingly raised its policy rate by 25 bps at its May meeting, but the Bank’s messaging distinguished it from the Fed’s and the ECB’s decisions last week.