Gallery
All the news about industry gallery
Interview
Interview ,
August 2020
Matthieu Esposito: "We have not changed our strategic allocation with the health crisis"
According to Matthieu Esposito, Director of Investments & Treasury at La Mutuelle Générale, the investment team simply re-prioritized certain asset classes. With the markets falling, it has tactically sought to benefit from lower entry points on liquid (...)
Interview ,
July 2020
Thierry Dissaux : “Yes, we use Socially Responsible Investment (SRI) criteria”
According to Thierry Dissaux, Chairman of the French Deposit Insurance and Resolution Fund (FGDR), for its next call for equity offers, the FGDR should select an ETF equity index excluding companies with controversial governance and those with a significant share of their (...)
Interview ,
March 2020
Yann Duvaud-Schelnast : "Our entire portfolio - whether on listed or non-listed asset is subject to an ESG analysis / review"
According to Yann Duvaud-Schelnast, Head of Sustainable Investment, innovation and governance at Allianz France, the subject of carbon occupies a key place to date in the insurer’s ESG strategy.
Interview ,
February 2020
Joachim Fels & Nicolas Mai : « The Coronavirus outbreak poses some downside risk to the forecasts »
Joachim Fels, Managing Director, Global Economic Advisor at Pimco and member of the investment committee and Nicola Mai, Executive Vice President in the London office are cautious and selective in the current market (...)
Interview ,
December 2019
Bertrand Alfandari : « We have broadened our range mainly by adding equity and bond ETFs with an ESG approach »
BNP Paribas Asset Management and Bertrand Alfandari, Head of ETF Business Development want to continue to be one of the leading ESG ETF providers in Europe and believe that it is important to support its client expectations in this field, both in the equity and bond (...)
|
|
Opinion
Opinion,
May 2020
Burgers, beer and deflation fear: credit opportunities amid the chaos
Ariel Bezalel, Head of Strategy, and Harry Richards, Fund Manager, explain where they have been snapping up credit opportunities, while remaining alert to the risks often concealed in bear market rallies.
Opinion,
May 2020
Post-Covid recovery packages must quicken the pace to net-zero carbon emissions
Government recovery plans must lay the foundations for an irreversible shift to a resilient, net-zero and inclusive world economy.
News,
May 2020
Higher defaults and lower collateral values will impair Irish re-performing RMBS
Deteriorating collateral values and higher defaults will impair the performance of Irish re-performing RMBS, even if cash reserves are adequate to cover temporary collection delays and liquidity shortfalls related to Covid-19 payment (...)
Opinion,
May 2020
Impact of Covid-19: How did the nordic countries react?
The reaction to the virus outbreak was not one of denial at Nordic governments. The responses have been decisive, swift and wide to contain the first fall outs. Let’s take a firm look in the rear–mirror on what the Nordic countries looked like when the crises set (...)
Strategy,
May 2020
The impact of COVID-19 on global high yield
As an increasing number of companies battle the economic consequences of COVID-19, their ability to service bond payments is coming under intense scrutiny. In this Q&A, Sunita Kara considers whether current high-yield valuations adequately compensate investors for (...)
|
|
© Next Finance 2006 - 2025 - All rights reserved