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Global ESG Research Update — Wellington joins Net Zero Asset Managers initiative
We explain our decision to join the Net Zero Asset Managers initiative as a founding member. We also provide an update on our ESG engagement and proxy voting activity in the quarter.
January 2021
Global ESG Research Update — Wellington joins Net Zero Asset Managers initiative
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The post-COVID recovery in Europe
Europe's economic rebound from the COVID pandemic will be stronger than expected, argues Macro Strategist Jens Larsen. He explains why he thinks improved policy will lead the continent out of recession.
January 2021
The post-COVID recovery in Europe
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Euro high yield: navigating opportunities in the COVID era
With cruise lines hard hit by the pandemic, many investors steered clear of the industry. We saw it as an attractive entry point to a resilient industry with strong growth potential.
January 2021
Euro high yield: navigating opportunities in the COVID era
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Four forces that could turn the tide for US financial stocks
US Macro Strategist Juhi Dhawan lays out a case for a better performing US financial sector, from attractive valuations to a steeper yield curve, as well as the role of Fed and fiscal policy in shaping the outcome.
January 2021
Four forces that could turn the tide for US financial stocks
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Seeing an end to the ESG blind spot in private equity
ESG's role is coming into focus in the private market, says Hillary Flynn, director of ESG, Private Investments. She discusses governance, climate and other key themes; the higher bar for newly IPO'd companies; and the evolving activist playbook.
January 2021
Seeing an end to the ESG blind spot in private equity
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Mapping the impact of climate change
In this three-minute video, we share the climate-exposure risk-analysis tool we have developed in partnership with Woodwell Climate Research Center. This software helps our investment teams track and assess physical climate risks facing capital-market assets around the world.
January 2021
Mapping the impact of climate change
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Tim Antonelli
 CFA, FRM, SCR
Three reasons to celebrate: OFI in 2021 and beyond
In this paper, we profile the framework driving the OFI strategy, highlight the fund’s successes and lessons learned over its three-year history, and explore fixed income opportunities in 2021 and beyond.
January 2021
Three reasons to celebrate: OFI in 2021 and beyond
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Opportunistic fixed income: outlook for 2021
In this short outlook, we explore why the fixed income environment may be changing, which sectors could benefit and how investors can adapt.
January 2021
Opportunistic fixed income: outlook for 2021
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Annual letter from our CEO: reflections on passing the baton
After a year like no other, CEO Brendan Swords looks ahead to 2021 and the upcoming transition to the firm's next CEO. He discusses the mission of the firm, career lessons learned and the elevated importance of a strong culture in a more virtual world.
January 2021
Annual letter from our CEO: reflections on passing the baton
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Climate: today’s investment actions to address long-term challenges
This event replay from the 2020 Financial Times Investing for Good conference features Wellington's Director of Sustainable Investment Wendy Cromwell, discussing the importance of bridging the gap between climate science and finance, the kind of research and data required to support that and work being done in conjunction with asset owners to help scientists and investors speak the same language.
January 2021
Climate: today’s investment actions to address long-term challenges
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Future Themes: what’s reshaping markets, economies and society?
Science, society, sustainability and systems. These structural forces are shaping our world. They're also our Future Themes research categories. Get a quick rundown of the specific areas of focus from Portfolio Manager Dáire Dunne.
December 2020
Future Themes: what’s reshaping markets, economies and society?
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UK assets to outperform if a Brexit deal is struck
A Brexit deal would help UK risk assets to outperform in the next few months. Yet any rally may not last, as the UK faces several structural challenges besides its new trading relationship with the EU.
December 2020
UK assets to outperform if a Brexit deal is struck
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2021 Investment Outlook
As we head into the new year, thought leaders from across our investment platform share their views on pressing questions.
December 2020
2021 Investment Outlook
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2021 ESG & Sustainability Outlook
In the wake of COVID-19, a record year for climate disasters and rising calls for corporate responses to social justice, ESG and sustainability are in focus like never before. Members of Wellington's Impact Investing, Climate Research and ESG Research Teams share what they plan to focus on in 2021.
December 2020
2021 ESG & Sustainability Outlook
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2021 Alternative Investment Outlook
Dennis Kim and Lori Whiting, members of our Alternatives Team, consider the changing relationship between volatility and liquidity, and offer ideas on alternatives strategies for what they expect will be an enduring trend.
December 2020
2021 Alternative Investment Outlook
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