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Are we on the cusp of an  unconstrained bond fund “renaissance”?
Portfolio Managers Brian Garvey and Brij Khurana and Investment Director Brian Doherty see unconstrained fixed income approaches, if properly implemented, as being well suited to the current (or any) market environment.
Archived insights remain available on the site. Please consider the publish date while reading these older insights.
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July 2021
Are we on the cusp of an unconstrained bond fund “renaissance”?
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Applying climate research to impact investing
Climate research increasingly informs impact investing. For example, solutions that help prevent or alleviate water shortages will likely attract more investor attention and trigger significant capital spending. Our impact portfolio managers describe how research from our Climate Research Team has helped them identify impact investing opportunities.
Archived insights remain available on the site. Please consider the publish date while reading these older insights.
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July 2021
Applying climate research to impact investing
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Using climate science to uncover investment opportunities
Investors are increasingly aware of the risks posed by climate change, but perhaps less so of the unexpected opportunities that climate science can help uncover.
Archived insights remain available on the site. Please consider the publish date while reading these older insights.
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July 2021
Using climate science to uncover investment opportunities
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Five reasons to be bullish on China’s currency
For Macro Strategist Santiago Millán, a key pillar of his favourable outlook for China, including potential asset-price outperformance, is his directional view on the Chinese yuan: Upward.
Archived insights remain available on the site. Please consider the publish date while reading these older insights.
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July 2021
Five reasons to be bullish on China’s currency
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Are ESG and policy intervention game changers?
An accelerating focus on ESG and more aggressive policy interventions could change the way we invest in years to come. Marc Piccuirro assesses the implications for investors.
Archived insights remain available on the site. Please consider the publish date while reading these older insights.
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July 2021
Are ESG and policy intervention game changers?
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Has climate transition risk been priced into equities?
The recent runup of some "green" equities has investors questioning whether climate transition risks have been priced in. But the lack of Scope 3 emissions data and wide variation in the quality of companies' climate transition plans leave gaping inefficiencies that active investors can still exploit.
Archived insights remain available on the site. Please consider the publish date while reading these older insights.
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July 2021
Has climate transition risk been priced into equities?
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Erika Murphy
 CFA, CAIA
Monthly Market Snapshot: June 2021
A monthly update on equity, fixed income, currency and commodity markets.
Archived insights remain available on the site. Please consider the publish date while reading these older insights.
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July 2021
Monthly Market Snapshot: June 2021
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Financial Market Review: Second quarter 2021
A quarterly review of results in the global equity, fixed income, currency and commodity markets.
Archived insights remain available on the site. Please consider the publish date while reading these older insights.
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July 2021
Financial Market Review: Second quarter 2021
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Mid-2021 Investment Outlook
As you look ahead to the second half of 2021, thought leaders from across our investment platform share their views on pressing questions.
Archived insights remain available on the site. Please consider the publish date while reading these older insights.
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July 2021
Mid-2021 Investment Outlook
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Investing implications of a three-speed economy
Multi-Asset Strategist and Portfolio Manager Nick Samouilhan and Investment Directors Andrew Sharp-Paul and Matthew Bullock highlight how key regional differences globally have led to three distinct ”blocks” of the world economy.
Archived insights remain available on the site. Please consider the publish date while reading these older insights.
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July 2021
Investing implications of a three-speed economy
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People, planet, profit: investing with a stewardship mentality
An investment strategy with a long-term mindset focused on companies that weigh the interests of all stakeholders and generate strong returns on capital can potentially deliver good investment returns while helping to address ESG concerns.
Archived insights remain available on the site. Please consider the publish date while reading these older insights.
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July 2021
People, planet, profit: investing with a stewardship mentality
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<span>Insurance Multi-Asset Outlook — </span>The rising tide of inflation: risks and opportunities for insurers
COVID vaccination progress and ample policy support may warrant a more pro-risk investment stance in the future, but persistent inflation concerns continue to loom. Multi-Asset Insurance Strategist Tim Antonelli and Investment Strategy Analyst Daniel Cook share insights to help insurers navigate these competing forces.
Archived insights remain available on the site. Please consider the publish date while reading these older insights.
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July 2021
Insurance Multi-Asset Outlook — The rising tide of inflation: risks and opportunities for insurers
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Tim Antonelli
 CFA, FRM, SCR
Split decision: should investors  separate China from EM equities?
Many investors are contemplating whether to separate China from the rest of their emerging market equity allocation. Members of our Investment Strategy Group argue that the key decision point is not China’s dominance of the emerging market index, but the extent to which a standalone China allocation can be viewed as similar to an EM ex-China allocation. In this paper, they evaluate the similarity of the two allocations using a variety of metrics, from correlations to factors to sector composition.
Archived insights remain available on the site. Please consider the publish date while reading these older insights.
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July 2021
Split decision: should investors separate China from EM equities?
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What Chinese consumers are saying post-COVID (and why it matters)
Equity Portfolio Manager Liliana Castillo Dearth shares results from (and investment implications of) her second post-COVID-19 survey of Chinese consumers.
Archived insights remain available on the site. Please consider the publish date while reading these older insights.
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July 2021
What Chinese consumers are saying post-COVID (and why it matters)
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Building climate resilience within a strategic asset allocation framework
Driving volatility and dispersion, climate change could have lasting effects on the risk and return profile of a strategic asset allocation plan. We suggest allocators factor climate change into their structural planning today, and we propose a climate-aware allocation framework to help them do so.
Archived insights remain available on the site. Please consider the publish date while reading these older insights.
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July 2021
Building climate resilience within a strategic asset allocation framework
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Erika Murphy
 CFA, CAIA
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