This site uses cookies.  By continuing to browse this site you are agreeing to our use of cookies.   Find out more.
Close  (Sets Cookie)

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   RSS   

The U.S. Municipal Market: Oncoming Train or Light at the End of the Tunnel?

Given the broad-brush headlines about dire state and local finances and the possible effects on the municipal bond markets, Standish's Tax-Sensitive Fixed Income team argues for a differentiated view across muni market segments as well as across prevailing state and local government conditions.

Business:   Investment Management
Publication date:   March 2011


The Power of Dividends: Global Equity Income Investing

Amid modest return expectations for most major asset classes, James Harries of Newton discusses why investors are rediscovering dividends as an important part of the pursuit of long-term total returns. Focusing on dividend yields, he says, can also be a useful barometer for identifying outperforming companies with efficient capital allocation and cash flow management.

Author:   James Harries
Business:   Investment Management
Publication date:   March 2011


Financial Regulation Altering the Cash Management Landscape

BNY Mellon Cash Investment Strategies looks at the potential supply and demand mismatch of shorter-maturity securities as new regulations require money market mutual funds to hold more highly liquid, short-term securities, while Basel III regulations encourage banks to focus on longer-term debt.

Business:   Investment Management
Publication date:   January 2011


Mitigating Investment Risk with Central Beta Exposure Managers: Six Case Studies

As more investors look to derivatives to implement innovative investment strategies, BNY Mellon Beta Management discusses the potential advantages of working with experienced central beta exposure managers who specialize in risk management and the efficient implementation of derivatives programs.

Authors:   Jamie Cashman, Keith Eiger, Jay Kwon
Business:   Investment Management
Publication date:   December 2010


Investing in Latin American Infrastructure

BNY Mellon ARX discusses the significant investment opportunities arising out of Latin America's efforts to renew and expand its infrastructure. Across the continent, billions of dollars are being targeted toward developing and improving transport, power transmission and telecommunication.

Business:   Investment Management
Publication date:   December 2010


Brazilian Tax Hikes: A Band-aid Solution to Currency Appreciation?

BNY Mellon ARX's Solange Srour and Standish's Javier Murcio discuss the implications of Brazil's recent tax hikes on financial transactions. November 2010.

Authors:   Solange Srour, Javier Murcio
Business:   Investment Management
Publication date:   November 2010


Implications of the Proposed OTC Derivatives Regulations

Pareto's Mike Schilling and Richard Purssell examine the implications of new regulation proposals in the U.S. and Europe on over-the-counter derivatives. Pareto applauds efforts to improve the transparency and operational efficiency of OTC derivatives contracts, but notes there could be some unintended consequences that should be considered beforehand.

Authors:   Mike Schilling, Richard Purssell
Business:   Investment Management
Publication date:   December 2010


Global Market Outlook

Investment professionals from across BNY Mellon Asset Management's global boutiques discuss the prospects for their markets in the coming year.

Authors:   Richard Hoey, Francis Sempill, James Harries, Brian Ferguson, Alex Gorra, Simon Nichols, Andy Cawker, Jason Pidcock, Hugh Simon, Kirk Henry, Paul Brain, Thomas Higgins, Walter Schepers
Business:   Investment Management
Publication date:   December 2010


Eurozone Crisis Part Deux: The Big One

Paul Brain, Newton's head of fixed income, analyzes the second stage of the European sovereign debt crisis, arguing that the eurozone is now under significant threat, with a break-up of the single currency union a possible, albeit low-probability, outcome.

Author:   Paul Brain
Business:   Investment Management
Publication date:   December 2010


Global Investing: Expanding the Opportunity Set

Investment professionals from BNY Mellon Asset Management's boutiques discuss how institutional investors might frame their international investing decisions across asset classes and address the risks of investing outside home markets.

Authors:   David Leduc, Helena Morrissey, Todd Briddell, Jeffrey Saef, George Siguler, Mike Shilling, Hugh Hunter, Kirk Henry, Andrea Clark
Business:   Investment Management
Publication date:   October 2010


« First   « Prev   1   2   3   4   5   Next »   Last »