White papers - all assets – Page 201
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White papers
Fiorino: bond themes and late-cycle mood music: as rates go up-tempo, markets rotate
As global economies emerge from the Covid-19 doldrums, bond markets could be tiring. But late-stage fixed income dynamics can also play out well for astute investors. Fiorino conducts a brief enquiry.
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Uncover new sources of income with taxable municipal bonds
Issuance of taxable municipal bonds, a segment of the overall municipal market, has increased in recent years, providing global institutional investors with an additional means of generating yield.
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ESG in Action: Improving Climate Change Models for Investments
Gauging the potential impacts of climate change on a company’s valuation or portfolio performance is extremely difficult. At AB, we’ve partnered with Columbia University’s Earth Institute to conduct an extensive review of existing climate change scenario-analysis providers and their various approaches.
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Introducing our new sustainability hub
Since 1983, Sustainable Wealth Creation has been our sole purpose. We aim to change investment for better, forever, for all.
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The U.S. Grabs the Global Recovery Baton…
Slow vaccination programs continue to delay the reopening of EU economies. The Fed showed that even with better growth and inflation outlooks, it remains committed to its accommodative stance. Elsewhere, China activity data so far this year shows the uneven recovery continues.
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ESG in Equities: Identifying Winners in the Energy Transition
Clean energy and anti-pollution initiatives will continue to impact the equity investment landscape—but not all companies will be winners, and careful analysis will be needed to identify those that stand to benefit and those that may see a threat to their business model.
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*What you need to know about the UN Decade on Ecosystem Restoration*
The United Nations (UN) Decade on Ecosystem Restoration (hereafter the UN decade), which will be launched on World Environment Day (June 5), aims to prevent, halt and reverse the degradation of ecosystems on every continent and in every ocean.
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How infrastructure debt can defend against The Zero
We explain why infrastructure debt is relatively resilient to a zero rate environment.
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Net Zero through investments: A pilot for intermediary target setting
Decarbonization of credit portfolios could play a major part in helping investors to support the goals of the Paris Agreement on climate change.
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Spotlight on environmental challenges: targeting solutions for the planet through impact investing
Ben Constable-Maxwell, Head of Sustainable and Impact Investing at M&G Investments, explains how active investors can target innovative solutions for the planet by investing in listed equities.
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Women Entrepreneurs And The Benefits Of Equal Access To Capital?
Jenny Johnson, Franklin Templeton CEO and Sara Araghi, Franklin Templeton Venture Partner Director, explore the gender parity gap in women-owned businesses that still exists today—and the opportunity in the investment world.
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Addressing climate change: why cashflow driven investors should act now
Climate-aware investing can mitigate against an emerging and significant risk factor. This is essential for investors targeting predictability of cashflows alongside high resilience to market risks.
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Stewardship during a crisis: Lessons from the pandemic
With the publication of the 2020 Annual Review of engagement and voting highlights by EOS at Federated Hermes, Dr Hans-Christoph Hirt, Head of EOS, reflects on the pandemic and the stewardship lessons for companies and investors.
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Why invest in EM local currency debt?
Disappointing US dollar bond returns in EM local currency debt has led to a decline in flows into the asset class over the past decade.
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White papers
Will India be the next high-growth emerging market?
After a slowdown in 2019 and a harsh lockdown in 2020, India may be poised to regain its place among the fastest-growing emerging markets.
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Low-volatility investing, here for the long run
A decade ago, after undertaking comprehensive proprietary research into the characteristics of low-risk stocks, we launched our global low-volatility equity strategy.
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COVID and beyond: navigating the markets
We share the views of some of our portfolio managers and economists on navigating the equity and fixed income markets in the year ahead and beyond. They also share how the last year has influenced long-term developments in economic and market outlooks.
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Federated Hermes Asia ex Japan: Letter to investors, March 2021
After a testing decade for contrarian, value-biased investors, there are hints of change as expectations of an end to extraordinarily cheap money have caused price movements. Could a long-awaited enduring rotation be in the offing? Here Jonathan Pines, Portfolio Manager of our Asia ex Japan Strategy, presents his views.
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White papers
Pricing ESG risk in credit markets
To analyse credit risks with greater precision, we developed a pricing model in 2017 to capture the influence of environmental, social and governance (ESG) factors on credit spreads. It showed a convincing relationship between ESG risk and credit spreads, manifesting as an ESG-risk curve.
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White papers
Emerging Market Debt Opportunities Monthly Review
Perspective from Franklin Emerging Market Debt Opportunities team.