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All the articles related to portfolio’s allocation

Articles

December 2017

Opinion According to Natixis Asset Management: “adaptability and flexibility will be the watchwords on the markets in 2018”

Corporates and households seem to have regained their confidence in the future in 2017 against a flattering macroeconomic backdrop. However, Natixis Asset Management’s experts caution against excessive optimism, as 2018 will not be entirely devoid of events that could throw a (...)

November 2017

Pedagogy Chinese Stocks in Focus

China’s stock market is one of the surprises of 2017. In early March developed market equities reached their highest point in euro terms but slipped thereafter, while stocks from emerging countries, especially from China, have continued to grow at a (...)

November 2017

Strategy Investors are not complacent in assessing risks

Markets have been remarkably resilient to political shocks, so are investors getting complacent? No, says Jaap Hoek in Robeco’s new five-year outlook.

November 2017

Strategy Will Passive Save Active?

According to David F. Lafferty, CFA®, Senior Vice President – Chief Market Strategist at NGAM, the pressures exerted by passive indexing are forcing active managers to tackle longstanding sources of inefficiency and underperformance. By setting more appropriate fees and (...)

November 2017

Opinion The end of accomodative policies, a new challenge for asset managers

According to Arnaud Faller, Deputy Managing Director, Chief Investment Officer at CPR AM, in this environment, we shall clearly favour equities over credit investments in developed markets, while leveraging on current opportunities in emerging bond and equity (...)

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