All White papers articles – Page 271
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White papers
Replay Webinar | Investing in credit 26 11 2020
Credit is set to play a significantly bigger role in the future of returns. Central banks’ support will continue to provide stability to the sector but companies’ fundamental are deteriorating and defaults are rising, how to set the scene in the current covid - disrupted credit environment? During this insightful debate, our boutiques’ experts analysed the credit space under various angles:
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White papers
Global Investment Views - December 2020
As we approach year-end, markets can count on two pieces of news to propel some optimism. The first comes from the US, where the Biden victory, without a real Blue Wave, is seen by markets as the best possible outcome.
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White papers
High Demand, Tight Supply: Private Debt Post-Coronavirus
We think private debt fared well relative to publicly traded credit during the coronavirus volatility, but will really differentiate itself in the years following the crisis.
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White papers
A Sustainable Option
The launch of S&P 500 ESG Index options marks a step forward for both ESG investing and the options market.
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White papers
The Path to Carbon Reduction
As investors that take climate change leadership into consideration, we often ask ourselves, how robust and meaningful are these goals and how do a company’s climate and business goals align?
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White papers
2021 Investment Outlook - Market rotations in an uneven recovery
The Covid-19 pandemic drove an unprecedented collapse in economic activity in H1, which was followed by a desynchronized rebound. The recovery phase has been uneven, with the virus cycle dictating the sequence of it. We believe that the damage to the global economy will last well beyond 2021. Output and personal income losses, the rise of inequality and the disruption in some sectors will be the legacies of the pandemic. Expecting that a vaccine will cause these to dissipate within a few months is too optimistic.
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White papers
Limited shelf life? Why the fast fashion model is under strain
The fast fashion industry has a detrimental impact on the environment, but more people switched to online retailers when pandemic lockdowns shuttered high street stores.
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White papers
Life Sciences Real Estate: Opportunity In The Midst Of A Pandemic
Clarion Partners: Increasing demand for purpose-built commercial space for life sciences research and development will benefit cities and property owners.
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White papers
Schroder Institutional Investor Study 2020: Investors back private assets despite Covid-19 uncertainty
Schroders’ latest Institutional Investor Study indicates that even with most investors expecting a looming global economic slowdown to impact returns, they expect their allocations to private assets will continue to rise.
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White papers
Markets on a tightrope
Violent equity market rotations present a strong case for balance in portfolios, but an unusually complex knot of factors makes it challenging to achieve.
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White papers
2021 Outlook: The Uneven Recovery
Listen as Barings’ portfolio managers and investment professionals discuss the cyclical and structural trends expected to shape public and private markets in 2021 & beyond.
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White papers
The Case for European Real Estate Debt
The supportive pricing fundamentals in the European real estate market, and low leverage relative to previous property cycles, suggest the asset class is well-positioned to withstand the impact of the pandemic.
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White papers
Structural Trends Supporting Asian Equities
There are a number of supportive structural trends shaping the opportunity in Asian equities, many of which—perhaps counterintuitively—have been amplified by the pandemic and U.S.-China trade tensions.
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White papers
2021 Outlook: The Uneven Recovery
The recovery in many ways looks real and durable—but it also looks uneven and, in some cases, quite unpredictable. In this discussion, investment professionals from the public and private markets discuss where they expect to see risks and opportunities in the year ahead.
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White papers
Emerging Market Debt: A Wider Range Of Opportunities, And Challenges, In 2021
Reasons to consider emerging-market debt from Nicholas Hardingham.
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White papers
Australia: The enduring merit of education
The long-term appeal of an education in Australia remains strong, despite near-term concerns arising from Covid-19. High quality education, geographic proximity to some of the fastest growing middle income countries and relative affordability compared with other English-speaking markets are some of the reasons underpinning the structural resilience of the sector.
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White papers
Locking Down to Speed Opening Up
November’s U.S. and E.U. flash PMIs may begin to teeter, and initial claims could show initial signs of greater layoffs as more shutdowns are enacted across the Western world. The vaccines present compelling data as Phase 3 trials show strong efficacies for preventing infections.
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White papers
The client lens: An interview with Faith Ward
Brunel Pension Partnership’s chief responsible investment officer discusses climate change, greenwashing and the urgent need to repair flaws in the financial system.