White papers - all assets – Page 293
-
White papers
Global Emerging Markets Equities: Where Do We Stand?
In this Q&A, William Palmer and Michael Levy, Co-Heads for Emerging and Frontier Equities, discuss their approach to accessing the asset class, current trends, and why recent headwinds may be becoming tailwinds.
-
White papers
German Equities Present Opportunities to Combat Headwinds
In this Q&A, Rob Smith, Manager of the Barings German Growth strategy, shares his thoughts on how German equities are positioned to combat various headwinds, and which sectors the team expects future growth to come from.
-
White papers
Think Tank Points to U.S. Growth Slowing
Anxious about the U.S. economy? The Conference Board think tank is pointing to growth slowing to 1.5-2.0% but there are no imminent signs of a recession.
-
White papers
Amplified: the social and economic story of Wellington Place
Intrinsic to our ability to generate positive impacts through RPI is the concept of meaningful place-making: urban places where people want to work and live, in which they take great civic pride, and which they want to support through social, economic, leisure and community-based activities.
-
White papers
Gold/Silver Options Skews: Upside Risk Ahead?
U.S. monetary policy exerts a strong influence on the skewness of currency, gold and silver options. In a normal monetary environment where short-term interest rates are well above zero, investors tend to be more concerned about gold and silver prices rising abruptly than falling.
-
White papers
Adopting An LDI Approach Throughout The Investment Value Chain
The insurance business model is fundamentally based on underwriting and managing risks: insurance companies are contractually bound to meet specific obligations and as such structurally driven by liabilities.
-
White papers
Generali’s Multi-Boutique Platform - Where specialization meets experience
One of the mainstays of the strategy announced by Generali Group is asset management enhancement, with the goal to integrate and strengthen its existing skills with new investment philosophies and cutting-edge strategies, thus making Generali Group a leader in both insurance and asset management.
-
White papers
Will ECB Change Course to End Negative Rates?
Negative rates aimed at boosting European bank lending instead had the opposite effect. Will the ECB end this policy and raise rates in 2019?
-
White papers
European Equities: What Impacts In The Event Of A Tariff War With The United States?
While the threat of a large-scale Sino-US tariff war appears to be receding, the US could now switch its focus to its trade deficits with the European Union. With this in mind, we wanted to find out which European equities, in terms of country, sector or individual companies, would be hardest hit by a trade conflict.
-
White papers
Cross Asset Investment Strategy - May 2019
Equity markets have remained buoyant in recent weeks: the S&P 500 is trending towards an all-time high, the European equity market (STOXX 600) is close to last year’s peak and the performances of emerging markets have also been very strong.
-
White papers
Who Will Lead The World Economy?
When we talk about leadership, we also talk about rivalry… and 2018 was undoubtedly a particularly emblematic year of rivalry, especially between the United States and China, and to some extent, between the United States and Europe.
-
White papers
Miss it, miss out: the opportunity in Asian private equity
Nowhere else can match Asia’s combination of scale and growth in the 21st century. Private equity has the keys to unlock this opportunity.
-
White papers
Managing fixed income late in the credit cycle: navigating the path forward
While we are clearly in the late stage of the credit cycle, we don’t think a recession is imminent and believe investors should feel comfortable investing in credit markets throughout the rest of 2019.
-
White papers
360 – Fixed Income report, Q2 2019
A reveille has been sounded in markets that are now experiencing feverish activity as half a decade of torpor gives way to volatility. Glib explanations for the panicked stampede of the recent sell-off – and subsequent rebound – mask the importance of properly calibrated defensive and flexible portfolio strategies.
-
White papers
Spain: Forming A Coalition Will Take Time, But The Picture Looks Benign For Investors
The outcome: The ruling Socialist Party of Pedro Sánchez came first, however without an absolute majority in Parliament. The new, far-right, VOX party also entered Parliament.
-
White papers
Five Building Blocks for Impact Management
This article seeks to provide an overview of the different tools available to impact investors when building an impact management system. They could fall into five categories – objectives, standards, certifications, methodologies and metrics – and come into play at different stages of the impact management process. Ultimately, each investor must decide which combination, and what degree of customization, is appropriate for their impact strategy.
-
White papers
Active multi-factor interest rate management
Quantitative alpha strategies in interest rate markets have repeatedly been questioned over recent years. Regular interventions by central banks – often running contrary to fundamental trends – were a challenge for the forecasting quality of numerous approaches. Yet it is possible to generate robust outperformance, even in difficult market conditions, by applying a diversified multi-factor rates overlay.
-
White papers
Rethinking the Fed’s policy framework
The dovish turn in March 2019 is unprecedented and inconsistent with the Fed’s remit.
-
White papers
Creating a climate for sustainability
Climate change is one of the most pressing sustainability challenges investors are facing today. It presents a systemic risk that is very difficult for investors to diversify away.
-
White papers
Hedge Fund Strategy Outlook Q2 2019
Changing rate environment, broad macroeconomic risks, and a dramatic repricing of volatility should create opportunities.