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FeaturesStrategically Speaking: BlueBay Asset Management
Nowadays, it seems fair to ask asset managers whether they believe they can fulfil their clients’ needs while at the same time doing their bit to fight COVID-19.
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NewsPension funds become embroiled in Italy’s banking M&A battles
Cassa Forense, Enasarco, Enpam and Inarcassa face questions over their stakes in Monte dei Paschi di Siena, Mediobanca, and Banco Popolare Milano (BPM)
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FeaturesFrench turmoil sparks havoc in government bond markets
As France battles more upheaval, and with yields on 10-year French govvies spiking, institutional investors have adopted a wait-and-see attitude
White papersThe ‘blue economy’: ensuring the sustainable management of our marine and freshwater environment
Environmental, social and governance (ESG) expert My-Linh Ngo, BlueBay Head of ESG Investment & Portfolio Manager, RBC BlueBay Asset Management discusses the importance of the blue economy in building a sustainable future through public debt markets.
White papersEmerging markets private credit: an attractive, alternative approach
With the private credit industry growing at pace, Mihai Florian, EM Debt Senior Portfolio Manager at RBC BlueBay, explains why EM corporates are in a stronger position than their DM peers and why a long, established track record in EM investing is key to understanding this nascent asset class.
White papersCapitalising on the EM private credit opportunity set
Polina Kurdyavko, Head of BlueBay EM Debt, explains the key elements in implementing a successful private credit strategy and discusses how select exposure can offer investors an attractive risk-reward balance.
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Asset Class ReportsThe evolution of emerging market private credit: Opportunities and challenges in a maturing asset class
EM private credit is evolving from a peripheral niche into a compelling asset class that should command serious institutional investor attention, reflecting broader structural shifts in global finance, regulatory changes and the persistent hunt for yield that has characterised the post-financial crisis era.
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NewsFondo Telemaco reshapes investment portfolio with new managers for €2.4bn
The appointments are part of a broader shift in the fund’s asset allocation, aimed at increasing equity exposure and simplifying its fixed income structure
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NewsPeople moves: First Sentier Group names CEO
Plus: Indefi launches new board of advisors; Sweden’s SH Pension appoints CIO
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Special ReportIMF sounds alarm on ‘shadow banks’
The growing connection between non-bank financial intermediaries and the global banking network is causing concern
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NewsPeople moves: Irish pension fund association names CEO
Joyce Brennan replaces Jerry Moriarty as CEO of the Irish Association of Pension Funds
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NewsPeople moves: Finland’s Ilmarinen picks equities chief
Plus: LPPI appoints new direct infrastructure leadership team; Broadstone adds non-exec director
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NewsInstitutional investors back EU deforestation regulation
The group is calling on the European Parliament to reject the European Commission’s proposal for a 1-year delay
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NewsPeople moves: Aviva adds to master trust board
Plus: South Yorkshire Pensions Authority picks new director; Goldman Sachs Asset Management names OCIO managing director
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FeaturesUS Dollar slide set to continue amid ongoing geopolitical turbulence
The US dollar (USD) index tumbled 10% in the first six months of the year, marking the worst performance since 1973 when Richard Nixon was the US president and the greenback broke its connection with gold.
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Special ReportThe three biggest challenges for asset managers over the next five years
Views from the top: Industry leaders share their insight as part of our Top 500 Asset Managers Report
White papersThinking like a business owner
The recent global backlash to the UK government’s tax-cutting plans – along with geopolitical uncertainty, energy security concerns in Europe and ongoing tension between inflation and interest rates – has added significantly to this year’s equity market volatility.
White papersThe stories behind the numbers
While it’s obvious that companies comprise their numbers, less is known about the idiosyncratic factors that make companies special. RBC’s Global Equity team looks at some of the stories…
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NewsPeople moves: AP1 picks new head of active ownership
UBS, RBC Bluebay, Universal Investment, AP1, Comgest, Dalriada, Hymans Robertson, ATP
White papersHow distressed debt can help spread risk and diversify returns
In 2024, there are multiple macroeconomic and geopolitical challenges that are likely to continue to impact global markets. At the same time these challenges are likely to lead to a rich opportunity set for a special situations investment strategy.





