FEATURED NEWS
Infrastructure debt in a portfolio context – A first exploration
We explore the added value of infrastructure debt in a portfolio context. Does it have an attractive risk-return trade-off and can it offer diversification potential in a fixed income portfolio of a pension fund or insurance company?
Sustainable investing: The first 20 years
One asset manager reflects on two decades of managing sustainable strategies. What are the lessons learnt, the changes seen, and the companies they are investing in on this journey.......
What Investors Really Want….
Kirstein´s Jan Willers on what he sees as some of the major investment trends in the region, what local differences exist and what asset managers need to consider to be successful in the region.
Reinventing Climate Investing
Helping asset owners prepare their equity portfolio for the transition to a low-carbon economy....
Trade War Rhetoric and Reality
Could Asian credit prove to be resilient? Christina Bastin, offers a cold, hard and dispassionate perspective on the trade war, and its implications for investors...
Egypt: Amongst the Cheapest Frontier Markets
An oasis of growth in a slowing global economy....
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