Our Latest Thinking
Investment Management
Your selection is displayed below. To view other articles in our library, please select a business or enter search keywords below:
| Line of Business: | Search Keywords: |
| You asked for: Investment Management | ||
| Refine your search: | ||
| Sort results by: | Author Business Publication Date | Download RSS Feeds |
Public and Private Real Estate: Room for Both in a Diversified PortfolioPrivate equity specialists from Siguler Guff discuss historic opportunities in distressed debt, as the unwinding of the huge debt overhang in advanced economies is leading to pockets of forced selling at depressed valuations. Authors: E. Todd Bridell, Alan Supple
|
Somber International Banking Conference Focuses on Downside Risks to Global EconomyStandish Global Macro Strategist Tom Higgins summarizes the views of leading international bankers and policymakers at a recent meeting discussing Eurozone debt and downside risks to global growth. Author: Thomas Higgins
|
Private Market Opportunities in Distressed DebtPrivate equity specialists from Siguler Guff discuss historic opportunities in distressed debt, as the unwinding of the huge debt overhang in advanced economies is leading to pockets of forced selling at depressed valuations. Author: Jim Gereghty
|
Emerging Markets as ASTERISCSStandish's Alexander Kozhemiakin discusses a new way to think about the universe of investments traditionally known as emerging markets, offering the concept of assets tied to economies of risky countries, or ASTERISCS, as a potentially more helpful guide. Author: Alexander Kozhemiakin
|
View from Europe: Uncertainty Batters European Corporate BondsWestLB Mellon Asset Management discusses the recent steep fall-off in European investment grade and high yield bonds as sovereign debt and recession concerns fueled uncertainty and battered risk assets. Authors: Holger Sandte, Walters Schepers
|
Fiscal Cliff Effects Will Slow U.S. Growth But Avoid Plunge Into RecessionStandish Global Macro Strategist Tom Higgins expects political compromise on the U.S. fiscal cliff will slow growth in 2013 but avert pushing the economy into recession. Author: Thomas Higgins
|
The U.S. Election Effect: Key Considerations for U.S. Equity InvestingThe Boston Company looks at how U.S. presidential elections have affected equity markets in the past and why this year's experience might be different. Business: Investment Management
|
The New Liquidity: Investment Implications of Structural Market ChangesBNY Mellon investment boutique traders look at regulation- and technology-driven changes to market liquidity and what they mean for institutional investors. Authors: David Brooks, Lynn Challenger, Amy Koch
|
Global Market Outlook 2013: Experimental Policy Transforms the Investment LandscapeBNY Mellon investment boutique traders look at regulation- and technology-driven structural changes to market liquidity in the U.S. and what they mean for institutional investors. Authors: James Harries, Andy Cawker, Nick Clay, George Saffaye, Caroline Keen, Sophia Whitbread, Solange Srour, Thomas Higgins, Paul Brain, Gunther Westen, Alexander Kozhemiakin, Colm McDonagh, Paul Hatfield
|
VIDEO: Value Opportunities Abound - Credit Markets Offer New Points of EntrySome sectors of the credit markets present unprecedented value opportunities for investors seeking to achieve their investment objectives this current low-return environment, says Paul Hatfield, Chief Investment Officer and Chief Risk Officer at Alcentra, BNY Mellon's boutique specializing in sub-investment grade debt capital markets in Europe and the United States. Hatfield believes that selective exposure to diversified credit opportunities will become an increasingly important trend among investors. Author: Paul Hatfield
|