White papers - all assets – Page 47
-
White papers2Q 2025 European Insurance Trends
The latest economic, investment and regulatory developments affecting European insurers.
-
White papersAn Overlooked Piece of the UK’s Productive Finance Puzzle?
How do UK small and mid-sized companies play a crucial role in helping the UK economy to thrive?
-
White papersInfrastructure debt – Broad opportunities, but risk must be managed closely
Investor appetite for infrastructure debt is proving to be robust in the face of a challenging fundraising environment for private markets. Vincent Guillaume and Stephanie Passet, Co-heads of Infrastructure Debt, argue for a disciplined approach to risk tolerance.
-
White papersThe forces reshaping China’s labour market
Few things define a nation’s economic story as clearly as its labour market. In China’s case, that story is one of staggering scale, deep-rooted divisions, and rapid transformation. With the largest workforce in the world, China’s labour market should be one of the most closely analysed. Yet opaque information and complexities obstruct conventional analysis.
-
White papersInfrastructure debt – Broad opportunities, but risk must be managed closely
Investor appetite for infrastructure debt is proving to be robust in the face of a challenging fundraising environment for private markets. Vincent Guillaume and Stephanie Passet, Co-heads of Infrastructure Debt, argue for a disciplined approach to risk tolerance.
-
White papersHow to effectively use inflation-linked bonds in a portfolio
For the past year, fears over rapidly rising inflation have somewhat receeded and the market’s focus has been elsewhere.
-
White papersA decade since the Paris Agreement and the green bond market has never looked better
The green bond market’s momentum is showing no signs of slowing – it is becoming increasingly standardised, transparent and credible, which is in turn driving an ever-rising demand for the asset class.
-
White papersPreserving central bank credibility: Addressing threats to the Fed’s independence
Rising geopolitical tensions and inflation are testing investor confidence in 2025, challenging central bank independence and market stability. U.S. Treasurys remain a key safe haven, but their dominance is increasingly under scrutiny amid global uncertainty.
-
White papersUnlocked Potential: Enhancing DC Outcomes With Private Equity
As product innovations and regulation have removed barriers to entry, we assess the potential benefits for DC schemes of investing into private equity.
-
White papersDigital disruption reshapes financial inclusion
About a quarter of the world’s adults lack access to affordable, quality financial services - but digital disruption is helping bring them into the formal financial system. Financial inclusion allows individuals to save and invest, while also supporting entrepreneurship and business growth. And for investors, these developments are opening the door to varied investment opportunities among banks and nontraditional financial services firms.
-
White papersKeep calm and carry on: Infrastructure and the first 100 days of Trump
In our 2025 infrastructure outlook, we argued that the macro backdrop is positive for private infrastructure, and that the 2025 edition of our report is the most bullish one we have written in the last three years. That positive sentiment may feel off the mark after the first few months of 2025, especially with volatility across the global markets due to uncertain policies under the new Trump presidency.
-
White papersTrump’s first 100 days
“The eventful first 100 days in office of Donald Trump put into question the dominant role of US assets, thus pushing global investors to look to other areas such as Europe in search for diversification*.”
-
White papersThe End of American Exceptionalism?
The rest of the world is due some cyclical catch-up with the U.S., but talk of a structural change in the global economic ecosystem is premature.
-
White papersFour scenarios for uncertain markets
There are no facts about the future — this much is certain.
-
White papersPain in Spain: Why infrastructure resilience has never been more important
A dramatic power outage in Spain and Portugal in April 2025 starkly revealed our dependence on electricity infrastructure. Alex Araujo and Michael Rae explore the resilience of power grids and how the shift towards renewable electricity generation could create investment opportunities for infrastructure businesses.
-
White papersUnified Global Alternatives – Hedge Fund Bulletin – March
Risk assets were broadly weaker in March on the back of concerns around the US administration’s tariff initiatives and the prospect of a widening trade conflict. The lack of policy clarity weighed on consumer confidence and corporate capital expenditure plans, while the prospect of large-scale tariffs raised concerns about stagflation, and its influence US Federal Reserve monetary policy.
-
White papersSeven Reasons Why UK DC Savers Need a Lifetime Income Default Strategy
Only a minority can access high quality pension advice—the majority need a lifetime default option.
-
White papersTaxable municipal bonds: silver linings
The fallout from the U.S. administration’s tariff regime continues to send shockwaves through markets. Uncertainty around policy will likely continue to drive market and geopolitical volatility, and has complicated the U.S. Federal Reserve (Fed) rate cutting path. While uncertainty and volatility impact several asset classes, we see opportunities in taxable municipal bonds to play an important role in diversified portfolios.
-
White papersShort Duration Q1 Recap, Portfolio Actions & Outlook
Our quarterly update examines the market turbulence of Q1 and how short duration strategies navigated the challenges—and opportunities—of heightened macro uncertainty.
-
White papersThe future is bright for European ABS
Investors are increasingly looking to diversify their fixed income investments. Whilst many options are available, one of the most compelling is specialty finance. For investors seeking an alternative source of return together with portfolio diversification benefits, this is proving a compelling destination.
