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    German infrastructure – what will it take to unlock domestic investment opportunities?

    German infrastructure – what will it take to unlock domestic investment opportunities?

    Global Infrastructure Survey – Three Takeaways as Broad Enthusiasm Gives Way to Selectivity and Precision

    Global Infrastructure Survey – Three Takeaways as Broad Enthusiasm Gives Way to Selectivity and Precision

    The ‘GP Stakes’ Debate: Overlooked Opportunity or Canary in the Coalmine?

    The ‘GP Stakes’ Debate: Overlooked Opportunity or Canary in the Coalmine?

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  • Manager Intelligence and Market Trends - February 2022

    bfinance’s quarterly report in February 2022: read the team’s latest insights on institutional investor activity, risk appetite, market developments and asset manager performance across all major

    ...
  • Tackling The Committed Capital Conundrum

    As investor allocations to illiquid strategies have boomed, the question of what to do with the capital that is committed to and returned from those strategies has become increasingly

    ...
  • Insurer Investment Survey

    The bfinance 2022 Insurer Investment Survey provides a detailed look at key changes in insurance firms’ investment portfolios, risk exposures and resourcing/implementation.

  • Investment Management Fees: Capturing Price Evolution

    The latest edition in bfinance’s biennial Investment Management Fees series. New analysis highlights areas where investors may be able to benefit from pricing trends, with ESG/Impact at the

    ...
  • Wealth Manager Investment Survey

    A new study, featuring data from 120 wealth managers around the globe, identifies significant changes in investment capabilities, ESG integration and strategy.

  • Multi-Sector Fixed Income: Back in Focus

    As the global economy returns to growth and inflation accelerates, few investors can afford to be complacent about their fixed income exposures. Many investors, in seeking to mitigate current and

    ...
  • Asset Owner Investment Vehicles - Sector in Brief

    More investors are launching a dedicated investment vehicle to house assets rather than investing in a wide range of pooled funds, separately managed accounts or ‘funds-of-one’. Find out more

    ...
  • Trade Finance: Sector in Brief

    Investor demand for trade finance strategies has surged, with yield-hungry allocators eyeing opportunities in an ‘even lower for even longer’ rate climate.

  • Nordic and Dutch Investors Drive Impact Innovations

    Nordic and Dutch investors are shifting the ESG agenda decisively towards ‘impact’ – whether that takes the form of measuring non-financial portfolio outcomes ex post or targeting social and

    ...
  • Chinese Bonds: Sector in Brief

    Struggling for yield in a Covid 19-challenged world, investors are exploring China’s deep and diverse bond market. As structural impediments to onshore investment fall, foreign capital inflows

    ...
  • ESG Asset Owner Survey: How Are Investors Changing?

    How are investors’ ESG priorities and practices changing? We surveyed 256 asset owners around the globe with assets in excess of US$7 trillion to discover which approaches they now use and

    ...
  • Securitised Credit: Sector in Brief

    Securitised credit is attracting heightened attention from investors in the ‘lower for even longer’ climate. Read about the latest developments and available investment strategies, including a

    ...
  • Benchmarking Alternative Risk Premia

    A challenging period for factor investing has left investors scrutinising the performance of Alternative Risk Premia strategies. In a sector where benchmarking has been problematic, this

    ...
  • The Rise of Fixed Income Factor Investing

    Systematic factor-based investing in fixed income is still in its early stages. This brief report reviews the critical challenges involved and the assesses landscape of available strategies.

  • Asset Owner Survey: Managing through Uncertainty

    As the global pandemic unfolds, 368 investors representing $11 trillion in assets share their lessons learned, key portfolio changes and expectations for the year.

  • Mid-year Review: Five Findings on Manager Performance

    In Late-July 2020, bfinance clients and other investors joined the research team (virtually, of course!) for a recap of active manager performance, portfolio positioning and investor activity in

    ...
  • How are investors reacting to the 2020 crisis?

    The latest edition in bfinance’s biennial Investment Management Fees series. New analysis highlights areas where investors may be able to benefit from pricing trends, with ESG/Impact at the

    ...
  • Will “Fallen Angels” Reveal Fixed Income’s Saints and Sinners?

    With large volumes of BBB credits either undergoing or set to undergo downgrades which knock them off the investment grade plinth, many investment grade bond managers are expecting “fallen

    ...
  • How Are Asset Managers Performing? Q1 Review – Key Takeaways

    On April 22nd, more than 300 investors around the globe joined the bfinance research team (virtually) for a session dissecting manager performance through the crisis so far.

  • Dislocation and Distress: Navigating New Opportunities

    New research on 130+ opportunistic investment strategies targeting distress and dislocation amid the pandemic.

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