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Asset management’s articles related to fundamental studies or surveys

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November 2023

Note Global Investment Managers Outlook 2024 : Tough Investment Climate Pressures Performance

Fitch Ratings’ 2024 sector outlook for global investment managers (IMs) is deteriorating. Increased macroeconomic and geopolitical risks and an increased risk of a US government shutdown create a challenging investment climate, with declining economic growth and high interest (...)

November 2022

Note Study reveals UK institutional investors/pension funds are increasing their focus on structured credit

A new survey from Aeon Investments, the London based credit-focused investment company, amongst UK institutional investors who collectively have around $83 billion in assets under management, reveals 75% believe pensions schemes will increasingly focus on structured credit (...)

September 2022

Strategy Reducing portfolio volatility top priority for european pension funds, new research from alpha real capital reveals

European pension funds say reducing absolute portfolio volatility is their top risk management priority, as geopolitical tensions and high inflation continue to impact global investment markets.

March 2022

Note Pandemic has strengthened the sustainability and ESG focus in Islamic Finance, research shows

Islamic Finance is set to drive a growing focus on ESG and sustainability in the wider Halal economy, new research* with leading Islamic Finance professionals working across a wide range of sectors shows (please see the attached press (...)

May 2021

News Alpha Real Capital research reveals UK pension schemes are increasingly focusing on Lifetime Mortgages as an asset class

New research from Alpha Real Capital (“Alpha”), the specialist manager of secure income real assets, reveals UK pension schemes are increasingly focusing on Lifetime Mortgages as an asset class.

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