White papers - all assets – Page 269
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White papers
Spotlight on listed infrastructure - The attractions to pension schemes
Infrastructure forms the backbone of any economy, providing essential services to individual communities and the country at large. For some time, the sectors and businesses that are considered to be infrastructure have been expanding and evolving, beyond what are regarded to be traditional areas.
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White papers
Five Multi-Asset Strategies for 2020’s Challenges
The last decade produced great performance across most asset classes. But in the 2020s, we expect investment market returns will be lower and risk harder to manage. Looking forward, a disciplined multi-asset approach will be especially valuable to identify opportunities and help mitigate setbacks.
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White papers
Economic Resilience, Fed And Elections To Drive Us Markets In 2020
2019 proved a strong year for US assets, with US equity markets recording the strongest annual total return since 2013 and the US aggregate bond index up almost 9.0%. In addition, the past decade proved the best ever for the S&P 500 index, which returned 256% overall, well above its historical average. It was also the decade when US equities dominated other markets, with an outperformance of more than 90% versus the MSCI World index.
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White papers
Trump’s Trade Triumphs May Not Settle Markets for Long
Trade truce does not necessarily mean trade peace. Despite recent agreements by the U.S. with China and its North American partners, we’re still a long way away from what was recently considered normal, and the risk remains all-too clear at this week’s Davos “After-Party.”
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Multi-asset allocation views: The pros and cons of higher-yielding fixed income
Sunil Krishnan asks whether higher-yielding fixed income assets remain good diversifiers for multi-asset portfolios in the current environment.
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White papers
Eliminating gender bias: how to improve corporate diversity
How does gender bias manifest itself in the business environment? In what ways can we attempt to plug the leaky pipeline? And how can we improve diversity on corporate boards?
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White papers
Core Matters - Germany’s fading shine
The investment case for Germany is dwindling. Following the GFC, Germany’s annual growth outperformed the rest of the euro area in from 2010 to 2017 by 1.2 pp on average. That said, in 2018 German growth underperformed and is expected to do so also in 2019 and 2020.
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White papers
Recovery, disintermediation and politics: A decade in UK infrastructure
In the first of a two-part series on UK infrastructure, Darryl Murphy looks back on a turbulent decade that saw bank lenders retreat only to re-emerge and a new broom of investors enter the market, as well as the demise of the PFI/PPP model.
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White papers
Europe At An Economic Policy Crossroads
On an international scale, Europe is struggling to establish itself, in particular against the two giants, the United States and China. The European Union (EU) must therefore be strengthened at all levels: political/ diplomatic, security/defence, financial architecture, development of high technologies, financing of the energy transition, etc.
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White papers
Blog: Emerging market fixed income – the outlook
Despite a sometimes challenging environment, emerging market debt generated strong returns in 2019. All four principal emerging market debt categories generated double-digit returns in 2019, led by hard currency emerging market debt.
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White papers
Multi-asset allocation views: Could Japan outperform other equity markets?
Sunil Krishnan argues that low expectations among domestic and global investors are reflected in Japanese equity valuations, creating an opportunity for the asset class to play catch-up with the rest of the world.
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White papers
On My Mind: Will The US Economy Survive The Politics In 2020?
What might investors worry about? Dr. Sonal Desai, our Fixed Income CIO, covers her expectations for 2020.
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White papers
ESG Investing In Recent Years: New Insights From Old Challenges
This research is an update of the study that we published last year (Bennani et al., 2018) and that explored the impact of ESG investing on asset pricing in the stock market. It extends the original period 2010-2017 by adding eighteen months from January 2018 to June 2019.
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White papers
The Solvency Sharpe Ratio: Strategic Asset Allocation for Insurers
New approaches to Strategic Asset Allocation for increasingly complex insurance balance sheets.
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White papers
Investment Outlook 2020 - Hotel California: No Leaving QE
Central bank policy is moving backwards now instead of forward, with three rate cuts reversed so far in the US and the European Central Bank (ECB) relaunching quantitative easing (QE). ‘Lower-for-longer’ risks are becoming a permanent state of affairs, with major significant implications for fixed income markets and investors. ...
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White papers
Blog: Investing for tomorrow – applying ESG principles to emerging market debt
In the past, investors often balked at the idea of applying environmental, social and governance (ESG) criteria when investing in emerging markets. We believe such an attitude is based on outdated associations of low income with political, social or economic disadvantages. Many EM countries have undergone significant progress and now have middle-income status.
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White papers
Blog: Towards a sustainable finance system: further yet to go
The transition to a global sustainable finance system is gaining pace. Speaking at the first PRI Sustainable Finance Policy Conference in September, BNP Paribas Asset Management CEO Frédéric Janbon explained that while sustainable finance is moving up the agenda for policymakers, regulators and investors, much work remains to be done. We set out the key points in this edition of The Intelligence Report.
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White papers
Blog: Investing in sustainable growth: Energy transition
As a theme, the energy transition offers opportunities to investors for whom sustainable outcomes matter. Fund managers Ulrik Fugmann and Edward Lees explain how they approach this in this edition of The Intelligence Report.
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White papers
Blog: Time to put climate action back on track
Four years after the landmark Paris Agreement at the COP21 conference, it is becoming clear that climate change has been raging on unabated and that the need for action is not only imperative, but ever more urgent, if the world is to steer away from the dire consequences across the breadth of society and industry. In this article for The Intelligence Report, we cover some of the main issues.
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White papers
Blog: China themes for 2020 – growth and policy (2/2)
What to expect economically from superpower China in 2020? In the final part of this two-part series, senior economist Chi Lo discusses the outlook for inflation, growth and central bank policy.