All White papers articles – Page 108
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White papers
Active fixed income ETFs in the spotlight
Given challenging market conditions, it looks like the time for active fixed income ETFs to shine, according to Jason Xavier, Head of EMEA ETF Capital Markets. He explains why he sees more growth in this area.
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White papers
Nearshoring opportunities brighten Mexico’s outlook
As companies look to relocate business operations closer to home, Mexico’s close proximity to the US suggest the central American country will benefit significantly from this shift.
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White papers
What’s in Store for European Insurance Investors in 2023?
European insurance investors enter 2023 in healthy shape but face a less-than-stellar macro environment and regulatory change. It will take selectivity and flexibility to tap opportunities.
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White papers
Cross Asset Investment Strategy - March 2023
European equities are favoured in a fragile earnings outlook
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White papers
Sustainability watch: solar panels, seaweed, and hydrogen taxis
A sustainability revolution is underway and we believe it provides one of the biggest investment opportunities in history. This shift is accelerating – driven by policy, technology, consumer demand and market forces. It is fundamentally disrupting three systems vital to the global economy: energy, land and oceans, and materials.
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White papers
Why UK real estate looks poised to recover
UK real estate has endured a tough nine months, but we think the makings of a recovery are starting to fall into place.
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White papers
Fixed Income: Securitized sectors outlook and opportunities
Fixed income is once again offering income, leading to attractive risk-adjusted return profiles in some segments of securitized sectors. As investors look to take advantage of higher yields, securitized sectors can offer not only income opportunities, but also uncorrelated returns and diversification benefits.
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White papers
Macroeconomics, Geopolitics, and Strategy - March 2023
Market measures of financial conditions suggest significant easing over the last three months, but borrowing costs for corporates and households have risen a lot, and are still rising. This has led to market optimism with regard to asset prices.
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White papers
European equities are favoured in a fragile earnings outlook
“The greater resilience of profits enabled the European market to remain cheaper than the US one.”
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White papers
Ukraine: one year on but no end in sight
After 12 months of fighting further action is needed from the west to prevent a balance-of-payments crisis and to support the reconstruction costs faced by Ukraine
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White papers
Roving recession to staggered recovery?
In this monthly series, we take a quick, comprehensive look at current macroeconomic themes that matter to clients.
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White papers
New data hints rate hiking is far from over
Plans for the European Central Bank (ECB) to continue to hike interest rates gain momentum following better-than-expected economic data releases.
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White papers
Commodities: From Destocking to Restocking
The micro and macro factors weighing on commodities since last summer are starting to reverse—and secular tailwinds are building.
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White papers
Hard to Ignore: Risk/Return Profiles of Private Credit and Senior Private Credit
The size of the private debt market currently stands at an estimated $1.2 trillion. And with private credit AUM increasing over 10% annually for the past decade, Hamilton Lane believes that the opportunity for future investment remains robust.
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White papers
CIO views: a new era of finding alpha
Uncertainty from higher interest rates, mixed data and geopolitical risk is fuelling more volatility. How is active management even more relevant in the current context? Are the former winners gone? Is this a new era of finding alpha?
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White papers
CT UK Social Bond Fund – The Big Issue Group
Building a world that works for everyone – Big Issue Group creates innovative solutions through enterprise to unlock social and economic opportunities. A percentage of the Fund’s earnings goes towards supporting Big Issue Group in its mission.
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White papers
Investing in water - A raft of solutions
The opportunities are not only a consequence of climate change effects – severe flooding or drought – but also of decades of under-investment in clean and wastewater infrastructure. Water is pervasive: every economic activity consumes water, and we believe nearly every company needs to improve how it manages that consumption.
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White papers
Notes from the Road: Inflation, Private Assets and a Cautious Consensus
The beginning of the year always offers a chance to catch up with a broad range of clients who are in the mode of thinking about the big picture outlook: pension funds, insurers, consultants and sovereign wealth funds across Australia, Asia, Europe and North America. This note reflects on the key issues that clients have wanted to talk about in the early months of this year. Collectively, these topics give us a picture of what’s on investors’ minds.
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White papers
IPM – Edition March 2023
2023 started with optimism for private markets. The eurozone allayed fears and grew slightly in 4Q22, while the US economy maintained a good pace of expansion. Warm weather curbed energy use in Europe and natural gas tanks remained close to full.
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White papers
Debt’s Bull Case ‘Remains Intact’
In this Q&A, Pieter Welman describes how an evolving political backdrop and the urgency of the energy transition are shaping the opportunity in infrastructure debt.