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Interview
Interview ,
October 2017
Fiona Reynolds : « The idea that sustainability equated to diminished returns has been steadily eroded with numerous studies »
Fiona Reynolds, Managing Director of the PRI (United Nations) gives us her point of view on SRI in the investment world. According to the idea that sustainability equated to diminished returns has been steadily eroded with numerous (...)
Interview ,
September 2017
Julien Bras : « We have about one hundred securities, with 89 % of our assets invested in green bonds »
According to Julien Bras, co-fund manager of the Allianz Green Bond fund, the strategy invests primarily in green bonds issued by companies, government agencies and supranational entities...
Interview ,
July 2017
RARE Infrastructure’s View on Trump’s infrastructure plan
According to Richard Elmslie, Co-Chief?Executive?Officer, Co-Chief Investment Officer and Portfolio Manager, Trump’s administration needs to establish a framework that needs to be robust enough to provide the private equity and debt sufficient comfort that, over the life of (...)
Strategy,
July 2017
Anne Le Borgne : “Our international equity thematic fund, Amundi Funds CPR Global Lifestyles aims to tap into the boom in multi-generational well-being.”
Well-being and self-actualisation are structural societal trends whose growth potential CPR AM, a well-regarded thematic manager, wants to tap into.
Interview ,
July 2017
Aude Lerivrain : « Can we invest in the chinese banking sector without worries? »
According to Aude Lerivrain, Head of Credit Research at CPR AM, we are seeing in the Chinese banking system many of the early warning signs of the major banking crises of recent years (in the US, Ireland and Spain)...
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Opinion
Strategy,
January 2017
Buy in January, Sell in May? The seasonality of commodity performance
Most commodities outperformance is skewed to the early months of the calendar year, according to ETF Securities, one of the world’s leading independent providers of Exchange Traded Products (ETPs).
Opinion,
January 2017
Positioning portfolios for 2017
We see reflation ? rising nominal growth, wages and inflation – accelerating globally in 2017, led by the U.S. This theme is central to how we suggest positioning portfolios for the coming year, including our preference for value stocks over bond (...)
Opinion,
January 2017
Generali Investments’ 2016 Year Review: European High Yield Bonds
For the European high yield bond market, 2016 was marked by three distinct phases and some defining moments. In contrast to normally favorable seasonal trends, the beginning of the year saw an abrupt sell-off which lasted for the first forty days on the back of a global (...)
Opinion,
December 2016
2017 outlook: China equities
Charlie Awdry, China portfolio manager, shares his views on the prospects for Chinese stocks in 2017. He believes the focus on high quality growth companies exposed to long-term consumer trends and cyclical value stocks places his portfolios in good stead to deliver (...)
Opinion,
December 2016
Asian Dividend Income: cautiously optimistic in 2017
Michael Kerley and Sat Duhra, Co-Managers of the Henderson Asian Dividend Income Strategy, provide their outlook for 2017. While macro events will continue to dominate markets, Asia’s strong potential for dividend growth remains the key reason why investors should remain (...)
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