Macroeconomic assumptions: Mostly stable, mostly moderate
How do your peers embed ESG into portfolios?
Our summer 2019 edition looks at UK pension buy and maintain strategies, the globalisation of real estate holdings and the importance of timing when investing in a volatile, late cycle environment.
Transport investing faces ongoing trade tensions and we believe our current strategies are well-positioned to benefit from emerging conditions.
Explores how institutional investors should reconfigure portfolio allocations/strategies in a world of low returns.
J.P. Morgan Asset Management alternative investment solutions custom designed to help investors achieve real returns and add diversification to portfolios, with strategies spanning real assets, private equity/credit, liquid alternatives and hedge funds.
Our currency team provides solutions for clients, controlling risk using passive management strategies and generating returns by actively managing global currencies.
Our emerging market debt strategies seek to maximize returns by developing a global view on emerging markets and analyzing individual countries and companies.