Investment – Page 14

  • 10-YEAR GOVT ZERO RATES
    Features

    Qontigo Riskwatch – March 2022

    March 2022 (Magazine)

    * Data as of 31 January 2022. Forecast risk estimate for each index measured by the respective US, World and Emerging Markets Qontigo model variants

  • Net sentiment equities
    Features

    IPE Quest Expectations Indicator – March 2022

    March 2022 (Magazine)

    Political risk is back. Russian aggression towards Ukraine inserts considerable amounts of uncertainty. Asset owners will in general not suffer significant direct consequences for a well-diversified portfolio, but there are potential implications for energy prices that come at a time when inflation was already making a comeback and on top of unexpected military expenditure when budgets are already charged by COVID-19-related outlays

  • Emerging markets region and sector
    Features

    Virtu Global Tradewatch – March 2022

    March 2022 (Magazine)

    2022 data through to 21 February 2022

  • YVES CHOUEIFATY
    Features

    Strategically speaking: Eyes on the next frontier

    February 2022 (Magazine)

    “Riddle me this,” asks Yves Choueifaty, founder, president and CIO of French asset manager TOBAM. “Why would 70 people who are not TOBAM employees be at our Paris headquarters today?”

  • US 10-year vs five-year breakeven inflation rate
    Features

    Fixed income, rates, currencies: COVID starts to lose grip on GDP

    February 2022 (Magazine)

    COVID’s huge influence on all our lives, whether through disruption of global supply chains or threats of lockdowns in the face of soaring infection rates, was reasonably constant throughout 2021. However, it now appears that GDP numbers have become generally less sensitive to COVID infection rates than they were, say, 18 months ago, with high vaccination rates (certainly across developed markets), and an awareness from politicians that the public’s willingness to comply with lockdowns may be waning fast. 

  • Total cryptocurrency market capitalisation
    Features

    Ahead of the curve: The rise of altcoins and potential institutional adoption

    February 2022 (Magazine)

    It is interesting to sit between traditional investors and the crypto-native communities: one has just started on the Bitcoin adoption curve while the other might already consider Bitcoin to be a ‘boomer coin’.  

  • 10-Year Govt Zero Rates
    Features

    Qontigo Riskwatch - February 2022

    February 2022 (Magazine)

    * Data as of 31 December 2021.

  • Emerging Markets - Trade Flow Ratio Feb 2022
    Features

    Virtu Global Tradewatch - February 2022

    February 2022 (Magazine)

    December 2021 data as of 21 January 2022

  • Net sentiment bonds - February 2022
    Features

    IPE Quest Expectations Indicator - February 2022

    February 2022 (Magazine)

    Wait and see
    Omicron surprised a world that thought COVID was almost over. Infections shot up in the EU, UK and US, reaching all-time highs, especially in France. However, while absolute levels remain high, the curves have turned and panic is abating. Death rates were little affected.

  • David Allen
    Features

    Strategically speaking – AlbaCore Capital: Alternative credit with pension fund roots

    January 2022 (Magazine)

    AlbaCore Capital, a Europe-based alternative credit specialist with North American roots, is a fairly rare example of an asset management company that was spun off from a pension fund. David Allen, founder and CIO, established the company in 2016, with a team of European alternative credit specialists that he led from within the $542bn (€366bn) Canada Pension Plan Investment Board (CPPIB). 

  • Sheridan Porter
    Features

    Briefing - Private equity: the case for transparency

    January 2022 (Magazine)

    A recent paper published by US-based academic Ashby Monk and others arguably says it all in its title – *An Economic Case for Transparency in Private Equity*.

  • Lennart Hermans
    Features

    Briefing: EU strengthens rules on green disclosure

    January 2022 (Magazine)

    Investment firms need to familiarise themselves with a range of new environmental issues to prepare for a European Union law aimed at consistent environmental disclosures that also support investment decisions on environmental sustainability. 

  • US employment-to-population ratio
    Features

    Fixed income, rates, currencies: Economies at a sensitive juncture

    January 2022 (Magazine)

    Another new year and we are still in a COVID pandemic, as we were a year ago, although this time with economic grow-th looking pretty robust across the world. But, despite the best efforts of healthcare workers, scientists and politicians, the virus continues to exert an unnervingly strong influence on all our lives. 

  • Spread differential between BBBs and As at 11-year low
    Features

    Ahead of the curve: M&A revival a potential risk to investment grade fundamentals

    January 2022 (Magazine)

    Following a brief but sharp decline, 2021 merger and acquisition (M&A) volumes have surpassed pre-pandemic levels as large corporations seek to gain scale and position themselves for continued growth in years to come.

  • Country Risk - Jan 2022
    Features

    Qontigo Riskwatch - January 2022

    January 2022 (Magazine)

    * Data as of 30 November 2021.

  • Trade Flow Ratio - Developed Markets
    Features

    Virtu Global Tradewatch - January 2022

    January 2022 (Magazine)

    November 2021 data as of 20 December 2021

  • Net sentiment bonds - January 2022
    Features

    IPE Quest Expectations Indicator - January 2022

    January 2022 (Magazine)

    Being sure of opinions
    With all eyes on inflation, political risk is not expressed in market sentiment, perhaps with the exception of the UK.

  • Shakil Shah, Payden
    Features

    Briefing - CLOs: a post-pandemic resurgence

    December 2021 (Magazine)

    Exactly a decade after the collapse of Lehman Brothers, the collateralised loan obligation (CLO) market was breaking records. In 2018, nearly $130bn (€113.6bn) worth of CLO paper was issued in the US and €45bn in Europe, a sign that the crisis of confidence caused by the Great Financial Crisis was over.   

  • Andrew Brown
    Features

    Briefing: PE fees under scrutiny

    December 2021 (Magazine)

    The balance of power between private equity firms and investors typically swings with the fundraising cycles. 

  • David Neal
    Features

    Strategically speaking: IFM Investors

    December 2021 (Magazine)

    When IFM Investors and its fellow consortium members cracked open the bubbly last month on their successful bid for Sydney Airport following a third revised offer, it marked a bet on a vigorous and sustained recovery in passenger aviation. After all, airports globally, including Sydney, had come to resemble “parking lots for planes”, in the words of IFM Investors CEO David Neal.