Adding credit exposure to defined contribution (DC) defaults via an unconstrained multi-asset credit fund has the potential to enhance risk-adjusted returns and improve outcomes for DC plan members.
In lower cost, liquid vehicles, alternative risk premia strategies can strengthen a risk-return profile.
EMEA Market Insights looks ahead to 2020 and considers what might be in store for global markets.
The results of the US midterm elections were largely in line with expectations, with one important wrinkle.
The investment landscape is changing as savers and governments place greater scrutiny on environmental, social and governance (ESG) factors. In this piece we highlight the driving forces and discuss the ways in which investors can include ESG factors
THE INVESTMENT OUTLOOK FOR 2019: MID-YEAR UPDATE
This paper outlines the potential investment implications of IFRS 9 on bond and equity investment strategies
This paper discusses the evolution of China’s economic policy after the 19th National Party Congress and how it impacts our view on Chinese equities.
The authors discuss sustainable investing, highlighting why there is not trade-off between a focus on sustainability and the maximisation of profit.