Investment – Page 2
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FeaturesIPE Quest Expectations Indicator – October 2025: Views converge amid uncertainty
Though very few analysts expect equities and bonds to fall across the board, with the exception of Japan, the ‘neutral’ vote is very high
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AnalysisDeepSeek and beyond: how China can crash America’s AI party
China’s equity markets have rallied over the past few months, triggered by the release of DeepSeek’s open-source AI model
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AnalysisMacro focus: the new shape of economic recovery in the post-Covid world
The effects of the global recession caused by the response to the COVID-19 pandemic are lingering, as seen by the uneven patterns of consumer spending
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InterviewsAmundi deputy CEO Jean-Jacques Barbéris outlines the firm's institutional pipeline
Amundi’s Jean-Jacques Barbéris tells Liam Kennedy about opportunities in liquid markets and ESG staying power
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FeaturesIPE Quest Expectations Indicator – September 2025: The sky is falling, just not right now
Neutral positioning of analysts over the summer masks an overall pessimistic mood
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AnalysisChart watch: US dollar down 10% YTD, China faces deflation, Europe and EM rejoice
As domestic macro imbalances reach record highs, the economies of the US, China and euro-zone diverge
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AnalysisFixed income, rates, currencies: markets in wait-and-see mode as US job markets stall
Investors are desperate for clarity on how tariffs will affect exporters and importers to the US
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AnalysisFixed income, rates, currencies: uncertainty sends US stocks out of sync with bonds and currencies
Tariff-led recession fears have eased, supporting risk assets, but bond and currency markets are in ‘wait-and-see’ mode
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AnalysisChart watch: positive US GDP forecasts overshadowed by tariff unpredictability
Economists expect a benign macroeconomic environment, but all is predicated on the fickleness of US policy
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FeaturesIPE Quest Expectations Indicator – August 2025
Trump’s attempts to undermine international trade and the US Federal Reserve are turning analysts against US assets, while good news out of Europe reinforce the case for appreciation of European assets
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FeaturesHigh-yield bonds still attractive despite market volatility
High-yield bonds have proven their resiliency in the current market volatility. Spreads are at the tight end, but yields are also higher than they have been, offsetting these concerns.
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FeaturesFixed income, rates, currencies: Questions over US economic policy dominate global concerns
As ever, the US dominates the global economic landscape. While there is still considerable uncertainty around possible tariffs emanating from the US – despite deals struck by the UK, China and Vietnam – the levels are still expected to be markedly lower than those trumpeted on 2 April.
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FeaturesIPE Quest Expectations Indicator - July 2025
US President Donald Trump remains the main source of global political risk. In recent weeks, he has ramped up pressure on Russia over the ongoing war in Ukraine while the success of his interventions in Israel’s dual conflicts with Hamas and Iran is uncertain.
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FeaturesChart watch: Uncertainty following tariff announcements persists
Though much of the damage caused by the so-called 2 April ‘Liberation Day’ announcement of US tariffs has been repaired, uncertainties generally remain high.
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InterviewsPinnacle Investment Management: ‘You need an absence of distractions’
Ian Macoun was all set to continue an illustrious career in traditional fund management when he decided to change tack.
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AnalysisFixed income, rates, currencies: Questions over US economic policy dominate global investor concerns
The likelihood of a full-scale global trade war has decreased, and the outlook for the global economy has improved as a result, but new tariff announcements by the US administration could cause this scenario to change once more
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FeaturesThe scarce commodity of active management skill
Active management skill remains elusive but it can be identified by means of effective analytics, with common attributes such as trading skill and concentrated portfolios
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FeaturesTrump market turmoil boosts hedge funds
With equity markets on a semi-permanent rollercoaster, the majority of the hedge fund industry has performed relatively well. Could we be about to see an absolute return renaissance?
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FeaturesHow seven European pension funds view active management
IPE asked leading European pension funds for their views on active management, with turmoil in the equity markets and continuing geopolitical uncertainty around the world
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FeaturesReforms boost appeal of Japanese equities despite trade challenges
It has been a long time coming but Japan’s corporate governance reforms are finally winding their way through the system, giving investors new-found confidence in its equity markets.




