Allocation & Trend
All the articles related to institutional allocation and trends
Allocation & Trend
Opinion,
January 2022
European equities: Stock selection guided by razor-sharp research will be the holy grail
2021 was a year of booming markets which were in danger of overheating before the Omicron Covid-19 variant came along. A profit boom on both sides of the Atlantic has supported equity markets, with the US looking exceptionally strong in the fourth (...)
Video,
December 2021
Overall market visibility has weakened
If the CPR AM experts remain globally confident about the global economy in 2022, they nevertheless believe that the overall visibility on the markets has weakened. As a result, they tactically reduced their equity exposure, in particular through the addition of option (...)
Opinion,
November 2021
Are L/S Equity managers concerned by the covid resurgence?
Managers in the U.S. and Europe are continuing to reduce both their net and gross exposures, now converging near their long-term lows. They are selectively selling or shorting stocks that are the most exposed to tighter restrictions, preferring value stocks instead (to (...)
Opinion,
November 2021
UBS Year Ahead 2022: A year of discovery
UBS, the world’s leading global wealth manager, is expecting a year of discovery that will reveal what a new “normal” looks like, after two years marked by lockdown and reopening. 2022 is expected to be ‘a year of two halves’, with high rates of economic growth and inflation in (...)
Strategy,
November 2021
Deforestation: engaging to preserve the world’s “carbon sink”
NN Investment Partners (NN IP) has signed the financial sector commitment letter on eliminating commodity-driven deforestation. The letter commits us to making best efforts to eliminate forest-risk agricultural commodity-driven deforestation activities at the companies in (...)
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