The potential for unilateral US currency intervention arose as a topic of research interest last year, and discussion has intensified over recent weeks.
The how and why of diversification
We explain why such an approach may not be warranted this year for investors in emerging market currencies.
A strategic framework for building a private credit portfolio
Demand/supply dynamics are creating investment opportunities in several value-added real estate subsectors.
Vincent Juvyns and Alex Dryden discuss economic growth in the eurozone and the potential impacts of the slowdown in China and other emerging markets.
New dimensions of diversification
Impacts of disruption on the core infrastructure investor
Our Global Emerging Markets portfolio managers demonstrate why long-term investors are in a strong position to take advantage of compound earnings growth.
Themes from the quarterly Quantitative Beta Research Summit