White papers - all assets – Page 23
-
White papersStablecoin: extending the reach of money into the digital era
By combining the payment efficiency of blockchain technology with the value stability derived from being pegged to the world’s reserve currency (USD), stablecoins have emerged as a monetary invention that some believe could revolutionise the financial world. While other countries are promoting stablecoins denominated in their own currencies, the recent passing of the GENIUS Act marks a major milestone: it represents an explicit endorsement from the US government that could push stablecoin development and adoption into high gear.
-
White papersMulti-Asset Investing Comes to the Fore
The economy and risk assets seem to be telling a conflicting story. In this environment, we believe there’s no better time to be taking a multi-asset approach to investing.
-
White papersGold is on track for a strong year
Gold prices set new record highs recently above $3,700 per ounce and are on track to deliver returns above 40% this year, the strongest yearly performance since 1980. This stellar performance follows already strong gains in 2023 and 2024, and compares with the long-term average annual return of around 6.0%.
-
White papersGlobal SMID Equity Engagement Report: A focus on responsible AI
This report outlines why – in light of the rapid developments in AI and the early-stage adoption across industry – we have chosen to purposefully scale up our AI-related engagement efforts with a range of companies, particularly in the software space.
-
White papersThe end of exorbitant privilege? EMD report Q3 2025
Fast-developing economies are transforming global markets.
-
White papersOur new AI assessment of engagement sentiment
The Global Equity ESG team outline how they are using AI to elevate their engagement discourse to uncover a more nuanced view of company trajectories.
-
White papersWhen down is up and South is North: Trade finance and tariffs
Tariffs continue to dominate headlines, drawing the focus of policymakers, businesses and consumers alike. These trade barriers, often enacted to shield domestic industries, can have profound effects on global commerce. A well-structured trade finance strategy offers investors the potential ability to seize these emerging opportunities.
-
White papersIndex investing and Dr. Frankenstein’s creation
Something changes when the benchmark takes on a life of its own.
-
White papersThe US SMID revival: Why this quiet rotation matters
After years of anticipation, the long-awaited rotation into US small and mid-caps (SMID) is finally gaining traction. Charlotte Daughtrey, Investment Director - Equities, explains why the second half of 2025 presents a rare convergence of macroeconomic, policy and market forces - creating a compelling opportunity for investors.
-
White papersFive reasons tariffs have not wrecked the US economy
Turmoil in financial markets over US tariffs has died down in recent weeks, mostly because the headlines have moved elsewhere and the economic effects of tariffs are only coming in gradually. But now that we have some relevant data to examine, it is worth assessing where we are in the rapidly changing global trade environment, the effects so far, and where we may be headed.
-
White papersEuropean High Yield: A Compelling Case in an Uncertain World
European high yield has been resilient during periods of lower growth. And, looking forward, we believe there are several key reasons why the asset class remains well-positioned, despite the unknowns on the horizon.
-
White papersInfrastructure Debt: A Strategic Anchor in a Shifting Landscape
Infrastructure debt is evolving into a cornerstone of institutional portfolios. Barings explores how macro trends, financing shifts, and investor innovation are reshaping the market and unlocking long-term value.
-
White papersThe Many Sub-Asset Classes Within Fund Finance
In this interview with Private Debt Investor, Matt Hansford, Head of Europe, Portfolio Finance, discusses the rise of fund finance as a core institutional asset class and explains why generating alpha and rapid capital deployment are some of its key advantages.
-
White papersHow can insurers position credit portfolios amid higher risk and uncertainty?
Insurers face a challenging credit landscape, with spreads near historic tights and limited dispersion. As uncertainty persists, strategies focused on credit quality, liquidity, and spread duration are gaining traction. Evolving regulations and underutilised asset classes, like high-quality structured credit, offer new opportunities to strengthen portfolios and enhance long-term resilience.
-
White papersUS dollar dominance: Playing Jenga with the global monetary system
Assumptions that underpin the US dollar’s status as the world’s primary reserve currency are eroding more quickly than expected. What happens if the tower starts to collapse?
-
White papersEmerging Market Bonds: Moving in the Right Direction
A weaker dollar and FED easing cycle are fueling strong performance and renewed inflows into emerging market fixed income. Solid fiscal reforms and improving credit metrics further enhance the appeal, especially in key markets within a heterogeneous universe.
-
White papersAI research trip reaffirms bullish outlook
Over the summer a group of our analysts and portfolio managers spent a week in San Francisco. The trip was an integral part of our ongoing research into artificial intelligence (AI) and related investment opportunities. Our scale as investors affords us exceptional corporate access and during our time in San Francisco we met senior leaders from around a dozen different technology companies, from heavyweights like NVIDIA and Broadcom to names operating throughout the data supply chain.
-
White papersECB strategy review: The investment implications
A cursory glance at the European Central Bank’s (ECB) 2025 monetary policy strategy assessment shows no major changes to its last review four years earlier – something which should, in the main, comfort investors. However, a deeper dive into the document and the surrounding macroeconomic backdrop reveals it to be - in our view at least - an ECB strategy policy overhaul, rather than a technical fine-tuning exercise.
-
White papersDivergence calls for diversification: Asia’s investors look to Europe
Over more than a decade, many Asian countries have looked beyond their own borders for long-term investment opportunities, with significant amounts of capital being directed towards the US. This year we note that Asian investors are increasingly aiming at rebalancing their portfolios, with European assets deemed as an attractive alternative.
-
White papersPrivate credit’s next phase: finding opportunity in a maturing market
The private credit market has experienced remarkable growth in recent years, with significant increases in capital inflows from both institutional and retail channels. Its success and expansion has naturally attracted scrutiny, with some observers questioning the sustainability of the asset class. This paper offers an alternative perspective: the current state of private credit represents a natural progression of a maturing asset class.
