Latest Articles

Amundi’s approach to water risk analysis

To better evaluate how portfolio companies might be impacted by worsening water security, we have developed a proprietary methodology to assess the extent to which companies are exposed.

PGIM - Q2 2017 Outlook: A Sweet Spot for Emerging Markets Debt

Even on the back of lower oil prices and the Fed’s rate hike in March, we are encouraged at how well EM debt has traded so far in 2017 as we appear to be in a “sweet spot” for the asset class.

Punter Southall Aspire Appoints Capita’s Christos Bakas to strengthen DC Investment team

Punter Southall Aspire, the new workplace savings and pensions business, is boosting its DC investment team with the appointment of Christos Bakas, a former DC Investment Consultant at Capita.

IFC, Amundi to Create World's Largest Green-Bond Fund Dedicated to Emerging Markets

IFC, a member of the World Bank Group, and Amundi, a leading European Asset Manager, today agreed to create the largest green-bond fund dedicated to emerging markets -- a $2 billion initiative that aims to deepen local capital markets and expand financing for climate investments.

Old Mutual Global Investors - Style-Premia: More than just Academia

Leif Cussen, manager of the Old Mutual Style Premia Absolute Return Fund, outlines four elements crucial to the selection of factors that can be harnessed to build systematic, liquid and well-diversified strategies.

MacKay Shields - Unconstrained Fixed Income: Why Now?

After decades of falling interest rates and the past several years of unprecedented global monetary intervention, investors in conventional bond strategies are becoming increasingly concerned about risk of loss as interest rates potentially renormalize.


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