White papers - all assets – Page 291
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White papers
Interpreting Brexit – impact of a hard or soft outcome
The UK’s departure from the European Union is still up in the air, despite setting a new date in October for leaving There remains no clarity on where the country will stand in terms of a deal by the time the formal process is triggered When the UK finally ...
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White papers
Global fixed income: it’s time for investors to stay watchful and nimble
In the space of just 12 months, markets have switched from expecting interest rate rises to expecting interest rate falls. Broadly speaking, this means 2019 should be a good year for fixed income. But investors are treading a fine line and need to differentiate between fixed income strategies.
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White papers
Threadneedle (Lux) European Social Bond Fund - Annual Social Impact Report
The Fund, the first of its kind in Europe, aims to deliver both a financial and a social return by investing in corporate bonds across Europe. It has a clear focus on supporting positive outcomes for individuals, communities or society as a whole.
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White papers
The Future Of Food: Eat Or Be Eaten
The impact of the food value chain to both the global economy and financial markets is huge But food systems face multiple challenges, from climate change to population growth and unsustainable practices There are investable opportunities with solutions to enhance the sustainability and health of our food systems, and ...
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White papers
Video: Reflecting on six years of Multi-Strategy Credit
As the strategy hits a key milestone in June, Fraser Lundie, Head of Hermes Credit, looks back on how Multi-Strategy Credit has fared in challenging markets since inception.
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White papers
Alternative Risk Premia: Why Diversify Beyond Style?
In the world of alternative risk premia, style premia have dominated. But they do have limitations. Investors should consider using a wider variety of strategies.
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White papers
How will the world respond to the next economic crisis?
The longest US economic expansion on record spanned a decade from March 1991 to March 2001. With the country’s current period of sustained growth poised to surpass this 10-year record in July, we examine the possible response to the next crisis.
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White papers
Indian elections: political continuity is positive but reform is what matters most
Prime Minister Modi led the NDA to a sweeping victory, with a full majority in Parliament and therefore significant political capital. There was some apprehension in the market ahead of the election and a clear majority will certainly soothe nerves.
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White papers
Fixed Income: The EU—Singing From 28 Hymn Sheets
How can the latest European Parliamentary elections be described? Sonal Desai, our Fixed Income CIO, covers hamstrung monetary policy and suggests the euro area may be more exposed to financial shocks.
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White papers
Adoption of SOFR and SONIA as Floating Rate Note Benchmarks
Read an update on adoption of SOFR and SONIA as benchmarks in the floating rate note (FRN) market.
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2018 Environmental, Social and Governance Annual Report
At Neuberger Berman, we recognize that our clients expect rigorous ESG integration from their investment manager. We firmly believe that attention to material ESG factors helps make us smarter investors, and that engagement with companies on ESG topics helps them perform better for their investors and for society.
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White papers
European elections: not a game changer, opportunities from divergences
The results are broadly in line with what opinion polls had indicated, although with a slight “pro-institution” surprise. Key takeaways are, first, a decline in the votes for the two large political groups which are the social-democrats and the Christian-democrats or moderate right; these two parties had, since 1979, commanded a combined majority in the European Parliament, and this is now over.
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White papers
The Circular: Keeping you in the sustainability loop
Read the launch issue of The Circular, where we share our key analysis and insights about sustainable investment from 2019 so far.
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White papers
Self-sufficiency for pension schemes: Keep on running?
Boris Mikhailov and Matthew Graham look at the benefits and risks for pension schemes targeting self-sufficiency.
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White papers
An introduction to securitisation: a diverse opportunity set offering attractive excess return potential
Securitisation can be seen as highly technical, niche and (post-2008) perceived as risky, but its highly diverse range of opportunities can bring significant benefits to a portfolio.
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White papers
Trawling for trash: why we are engaging for sustainable oceans
Every year, more than 8m tonnes of plastic ends up in oceans. According to some estimates, there will be more plastic than fish (by weight) in the sea by 2050. Careful management of this precious environmental resource is therefore a key feature of a sustainable future - and it is aligned to SDG14, Life Below Water.
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White papers
High Yield: Oasis In Search For Yield?
Since early 2016, US HY default rates have experienced a sort of “mini –cycle”, peaking at the end of 2016. Nevertheless, the recent rise and fall movements appear mostly commodity driven: default rates would have remained fairly stable if energy and material sectors were excluded from calculations.
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White papers
Redefining Value: A Modern Definition
Performance leadership in the decade long U.S. equity market cycle is and continues to be growth stocks. Value has significantly underperformed for several years. Principal proprietary factor timing models signalled an opportunity for value exposures in December and we believe it is time to discuss portfolio implementation to take advantage of the potential value opportunity.
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White papers
Is There Style Drift in Middle Market Lending?
Barings’ Ian Fowler weighs in on the supply/demand dynamics in the direct lending space and explains why looking at the middle market as one cohesive universe can be misleading.