White papers - all assets – Page 103
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White papers
Economic trends and investment themes for 2023 and beyond
Our Franklin Templeton Investment Solutions team recently brought together experts from across Franklin Templeton’s various investment groups for their fourth annual Investment Symposium event.
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Three things to watch in European high yield fixed income
European high yield bonds are warranting a closer look by investors given the significant re-pricing of fixed income markets during 2022.
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EMD outlook for 2023: local currency yields offer protection in volatile conditions
Global factors weighing on emerging market debt (EMD) in 2022 look likely to continue in 2023, with three main driving forces within this: tighter financial conditions led by the US, a stronger US dollar and weak global growth.
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Investing in the fight against a worsening obesity epidemic
Obesity has quickly reached global epidemic proportions over recent years with levels close to tripling since 1975.
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COP27: 8 key takeaways
The 2022 United Nations Climate Change Conference (COP27) took place in a year of severe climate impacts as well as a host of humanitarian challenges from wars on multiple fronts and an uneven recovery from an ongoing pandemic to the growing food, energy, and cost of living crises.
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Pensions Watch | Issue 22: What’s been happening and what’s on the horizon in the world of pensions
Given the ever-greater regularity of unanticipated impactful events with equally unpredictable tipping points, we look at the importance to pension scheme fiduciaries of risk management. In particular, we consider the need for both more inventive scenario analysis and stress testing of schemes’ resilience against a multitude of ever-present and emerging risks allied to more nimble governance.
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White papers
Net Zero Investment Portfolios - Part 1. The Comprehensive Integrated Approach
The emergence of net zero emissions policies is currently one of the most important topics among asset owners and managers. In this research paper, we investigate the integrated approach, which is implemented by equity and fixed-income mutual funds and ETFs.
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Digital Assets: Five technology megatrends impacting society
Technology megatrends transform society, and there is a hugely significant fourth wave on the horizon. Read more from Sandy Kaul, Head of Digital Assets and Industry Advisory Services.
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COP 27: not a lost COP after all
On 6-20 November 2022, Heads of State, Ministers, and negotiators with representatives from business, civil society, mayors, and environmental organizations met in Sharm el-Sheikh in Egypt for the largest annual gathering on climate change.
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Investment Outlook 2023 – Investing in an age of transformation
In our 2023 Investment Outlook, we seek to guide investors at a pivotal moment for the global economy. Surging inflation and fundamental geopolitical shifts have led to rising demands on governments.
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Subscription-based technology: helping to reduce e-waste?
By 2030, it is estimated that global e-waste will increase to 75 million metric tonnes unless practices regarding the disposal of devices are changed. Adapting to a subscription-based technology model may play a role in mitigating e-waste, while offering consumers access to devices without incurring large expenses.
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2023 Investment Outlook - Some light for investors after the storm
2023 key convictions from CIOs: 1. The Russia-Ukraine conflict is acting as an accelerator towards a regime shift, featuring higher inflation, geopolitical uncertainty, and a tug of war between monetary and fiscal policy, in a world already flooded by debt. Expect economic divergences to intensify.
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White papers
UK Fiscal Budget: main political, social and market implications
The UK fiscal budget main political implications: The budget is designed to improve public finances, regain market trust, and help the Conservative government regain some ground ahead of the next election.
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Incorporating ESG Risk In Fundamental Market Risk Models
This paper investigates the possible impact of ESG Risk when incorporated into front office driven Fundamental Market Risk Measurement approaches. The main principle is, that ESG risk is implicitly embedded in observable market risk factors, like share prices and credit spreads, and interprets the ESG risk of an equity portfolio as an additional jump component to an ordinary GBM process.
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Divergences and Pivots
The exuberant response to last Thursday’s inflation data suggests markets are primed for the “pivot”—but could they be extrapolating too far?
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Solving for 2023: Back to the “Old Normal”
Our investment leaders identify 10 key themes that they believe will be prominent in the markets over the next 12 months.
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Public Engagement Report Q3 2022
The Q3 Public Engagement Report from EOS at Federated Hermes takes an in-depth look at the growing problem with palm oil. Plus, how EOS engages with companies on tax, and voting season highlights from developed Asia and emerging markets.
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White papers
Standing out in Asian equities – Fund in 5
Fund in 5 offers an overview of the five key angles of the Asia ex-Japan Equity Fund (asset class, process, differentiator, the team & track record) including a short video.
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White papers
Food security challenges put spotlight on sustainable transition
For many around the world, 2022 has seen a dramatic rise in food prices. This has been caused by the compounding effects of climate change, supply chain interruptions linked to the Covid-19 pandemic, trade disruptions and rising energy prices resulting from the war in Ukraine.
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White papers
Credit markets? They’re too cheap to ignore
The market environment this year has proven tricky to navigate, but today’s credit market offers a compelling entry point into global credit for investors focused on long-term, fundamentally driven analysis.