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  4. Carbon Cuts or Climate Impact? New Choices for Equity Investors
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Article

Will Your Infrastructure Investments Withstand Inflation? The 700 Billion Dollar Question

23. März 2022

Although infrastructure is renowned as an inflation-sensitive asset class, the reality varies greatly depending on the strategy type and asset-level specifics. Not all ‘inflation-linkage’ is created equal, and not all ‘core’ assets are hardy cockroaches ready to survive the inflationary fallout.

  • Private Markets
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Weiterlesen: Will Your Infrastructure Investments Withstand Inflation? The 700 Billion Dollar Question

Article

Ukraine Impact: Are Active Managers Providing Protection in Emerging Market Debt?

02. März 2022

Emerging Market Debt indices staged a significant drop in February. Active managers should have provided some protection against the damage—the average strategy was already underweight Russia at the start of this year. Yet many have faced headwinds, including high transaction costs when selling and losses caused by overweight positions to neighbouring countries.

  • Fixed Income
  • Emerging Markets

Weiterlesen: Ukraine Impact: Are Active Managers Providing Protection in Emerging Market Debt?

Article

Alternative Risk Premia Strategies Revive and Evolve after Pandemic Rout

01. März 2022

Last year saw Alternative Risk Premia (ARP) strategies recoup a substantial proportion of the losses endured during 2020—an annus horribilis during which the bfinance ARP manager composite lost more than 10%. With managers seeking to reaffirm their credibility, many have made significant changes in order to improve their responsiveness and resilience.

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Weiterlesen: Alternative Risk Premia Strategies Revive and Evolve after Pandemic Rout

Article

Commodities and CTAs Draw Focus as Inflation Spikes

16. Februar 2022

Following an extended period of ‘low-flation’, many institutional investors entered 2021 with negligible exposure to so-called ‘inflation protection’ strategies such as inflation-linked bonds and commodities. A year later, with inflation climbing above 5% in a number of developed economies, we take a closer look at commodity and CTA performance.

  • Diversifying Strategies

Weiterlesen: Commodities and CTAs Draw Focus as Inflation Spikes

Article

Navigating Opportunities in Maritime Leasing

14. Februar 2022

Since the pandemic began, developments in the shipping sector have reverberated across the global economic landscape. Looking ahead, regulatory requirements around carbon emissions will drive transformative change. Investors are cautious—but they are also sensing opportunity; maritime leasing is answering asset owners’ appetite for alternative finance strategies that provide diversification, income and even environmental impact.

  • Private Markets
  • Private Debt
  • Real Assets

Weiterlesen: Navigating Opportunities in Maritime Leasing

Weitere Beiträge ...

  1. Tackling The Committed Capital Conundrum
  2. Illiquid Investments for Impact: Five Key Takeaways
  3. Are Your Asset Managers Equipped to Face Today’s Cyber Threats?
  4. Global Macro Strategy: Amid Macro Problems, Will Global Macro Provide Answers?
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Latest Insights

Portfolio resilience: rethinking the foundations

Portfolio resilience: rethinking the foundations

Manager Intelligence and Market Trends - August 2026

Manager Intelligence and Market Trends - August 2026

Investor Spotlight: KWAP - navigating technological shifts in quant equities

Investor Spotlight: KWAP - navigating technological shifts in quant equities

Investment Management Fees: Pricing pressure in the turbulent twenties

Investment Management Fees: Pricing pressure in the turbulent twenties

Manager Intelligence and Market Trends - May 2026

Manager Intelligence and Market Trends - May 2026

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