A systematic back-test of MSCI ESG ratings
Trade policy is of first-order importance in a more connected world, and markets have been reacting nervously to U.S. trade disputes.
We believe the Brexit negotiations will conclude with a relatively ���soft��� Brexit. But, as current media headlines show, there are still a number of compromises that need to be made on both sides to seal the deal.
A summary of the factors driving global markets over the last month.
The key political, macro and credit risks that insurers may want to address in 2019.
As we compiled the 2018 edition of our Long-Term Capital Market Assumptions, the world economy has enjoying its best period of synchronized growth in more than a decade.
The first rate rise in a decade was widely expected by markets.
How hedging against rising rates with credit���rather than sovereign bonds���can offer a better trade-off between liability-relative risk and return.
The stakes are high, since the internet has been a key driver of growth and consumer welfare for the last 20 years. What are the implications if Net Neutrality is repealed?