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Standish Outlook: Policy Hits or Misses to Drive Global Bond Markets in 2013

Standish Global Macro Strategist Tom Higgins looks at the macroeconomic prospects for global bonds and expects that political and policy uncertainty will continue to weigh on bond investors in 2013, with emerging markets continuing to fare better than developed markets.

Author:   Thomas Higgins
Business:   Investment Management
Publication date:   January 2013


Lessons from the Financial Crisis Four Years On

Standish Chairman Emeritus Ted Ladd interviewed 40 large institutional investors to discover how their investment behavior has changed four years after the financial crisis.

Author:   Ted Ladd
Business:   Investment Management
Publication date:   January 2013


10-Year Capital Market Return Assumptions

BNY Mellon's Investment Strategy and Solutions Group shares their 10-year capital market return assumptions for major asset classes at a time of extended low interest rates.

Author:   Jeffrey Saef
Business:   Investment Management
Publication date:   January 2013


European Banking Changes Create New Opportunities for Direct Lending to Mid-Sized Companies

Alcentra describes new credit market entry points in Europe as banks pull back from lending to mid-sized businesses, creating a direct lending opportunity for institutional investors.

Author:   Graeme Delaney-Smith
Business:   Investment Management
Publication date:   February 2013


Security Selection and Liquidity Key for Bonds in 2013

Standish CIO Dave Leduc looks at prospects for global bond markets in 2013 as macro risks have diminished and security selection within sectors as well as portfolio liquidity become key considerations.

Author:   David Leduc
Business:   Investment Management
Publication date:   February 2013


What If Something Goes Right? Equity Market Risk Signals and the Great Rotation

BNY Mellon's Investment Strategy and Solutions Group looks at the defensive behavior of investors since the financial crisis and contemplates whether we're on the cusp of a Great Rotation out of bonds into stocks.

Authors:   Robert Jaeger, Stephen Kolano, Michael Griswold, Elena Goncharova
Business:   Investment Management
Publication date:   March 2013


Decoding the Currency War Rhetoric Amid Unconventional Monetary Policy

Standish takes a closer look at recent currency war rhetoric and argues againt the idea that the primary intention of uncoventional monetary policies in most developed markets today is to weaken their currencies.

Authors:   Thomas Higgins, Federico Garcia Zamora
Business:   Investment Management
Publication date:   March 2013


Concerted Monetary Easing Increases Global Economy's Resilience to Shocks

Standish Chief Economist Tom Higgins looks at the rally in global capital markets since the start of the year and points to the concerted monetary easing of the major central banks as an important factor.

Author:   Thomas Higgins
Business:   Investment Management
Publication date:   April 2013


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