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Equities and Inflation: Old Problems, New Lessons

11 janvier 2023

During 2021-22, the results produced by active equity managers have been heavily influenced by the extent to which their portfolios have been ‘geared in’ to recent inflationary dynamics. Yet those connections are not straightforward: each period of inflation is different, and the world today is very different from the world of the 1970s-80s. With this subject remaining front and centre of equity investors’ minds in 2023—accompanied, problematically, by the spectre of recession—the time seems right to re-examine ‘winners and losers’ in inflationary conditions.

  • Equity
  • Monitoring

Lire la suite : Equities and Inflation: Old Problems, New Lessons

Clarifying the Case for ‘Convex’ or ‘Divergent’ Hedge Fund Strategies

1 décembre 2022

‘Divergent’ or ‘convex’ hedge fund strategy indices posted average returns of nearly 10% through the first three quarters of 2022. Even small allocations to these strategies have provided investors with material improvements to their overall risk-adjusted returns and drawdown profiles – plus capital that can be re-deployed into traditional markets at attractive entry points. Is it time for investors to re-evaluate their hedge fund portfolios, or indeed make the move to create one?

  • Diversifying Strategies
  • Hedge Funds
  • Portfolio Design

Lire la suite : Clarifying the Case for ‘Convex’ or ‘Divergent’ Hedge Fund Strategies

FTX Debacle Highlights Key Points for Investor Due Diligence

1 décembre 2022

BlackRock, Ontario Teachers’ Pension Plan and Sequoia Capital are among the named investors of FTX — the Bahamas-based cryptocurrency exchange whose collapse has made headlines across the financial press. The incident is a timely reminder of the importance of operational due diligence (“ODD”) when making investment decisions. Robust ODD assessments will likely reveal issues such as corporate conflicts of interest, weak governance, senior leadership shortcomings and inadequate cash management controls.

  • Private Markets
  • Governance
  • Risk
  • Operational Risk

Lire la suite : FTX Debacle Highlights Key Points for Investor Due Diligence

Infrastructure Investment at an Inflection Point

11 novembre 2022

Investors have appeared satisfied, so far, with the resilience shown by their infrastructure portfolios through the turmoil of 2022. The combination of inflation sensitivity, low real interest rates and robust buyer appetite have supported a sense of continued momentum in the sector. Yet mounting concerns are prompting a re-evaluation of exposures and expectations. What should investors watch out for in the current climate?

Lire la suite : Infrastructure Investment at an Inflection Point

UK Investor Snap Poll Reveals Shift in Allocation Intentions

25 octobre 2022

A quick poll of UK Asset Owners on October 18-19 2022 suggests a significant change in expectations for asset class exposures over the next year, versus a survey conducted one month prior. A quarter of investor respondents are now intending to decrease exposure to private market strategies over the next 18 months, including 80% of Corporate Pension Funds.

  • ESG
  • Equity
  • Private Markets
  • Diversifying Strategies
  • Strategic Asset Allocation

Lire la suite : UK Investor Snap Poll Reveals Shift in Allocation Intentions

Plus d'articles...

  1. Three Carbon-cutting Pitfalls – and How to Avoid Them
  2. Downturn Reveals Resilience of Alternative Risk Premia
  3. Portfolio Protection and Overlays: Time for a Rethink?
  4. Entering Leveraged Loans? Three Implementation Questions to Answer
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