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Cracking the Commodities Code: A Fundamental Approach to Harvesting Alpha Opportunities

Learn how commodity-portfolio returns potentially can be improved by over and under weighing commodities based on a set of economically grounded attractiveness scores.

Author:   Kenton Yee
Business:   Investment Management
Publication date:   February 2010


Lessons We Might Learn from the Financial Panic, Part 2

Ted Ladd, Chairman Emeritus of Standish, reports that investment managers are likely to face more intense regulation and compliance, and greater scrutiny of their capital resources.

Author:   Edward Ladd
Business:   Investment Management
Publication date:   November 2009


Multi-Horizon Investing: A New Paradigm for Endowments and Other Long-Term Investors

Robert A. Jaeger of BNY Mellon Asset Management and colleagues describe how investors can integrate liquidity into long-term strategies by using sub-portfolios.

Authors:   Robert Jaeger, Michael Rausch, Margaret Foley
Business:   Investment Management
Publication date:   November 2009


Emerging Market Local Currency Debt: Capitalizing on Improved Sovereign Fundamentals

Alexander Kozhemiakin of Standish explains why emerging market local currency debt is flourishing in the post-crisis environment.

Author:   Alexander Kozhemiakin
Business:   Investment Management
Publication date:   October 2009


Emerging Markets, Post-Crisis: New Perspectives on an Old Story

BNY Mellon Asset Management professionals explain how perception and reality are changing for emerging markets.

Authors:   Hugh Hunter, Warren Skillman, Carolyn Kedersha
Business:   Investment Management
Publication date:   October 2009


Lessons We Might Learn from the Financial Panic, Part 1

Ted Ladd, Chairman Emeritus of Standish, reports on the lessons that endowments, foundations and other institutional investors are drawing from the financial panic, and how it may affect their portfolio strategy.

Author:   Ted Ladd
Business:   Investment Management
Publication date:   September 2009


Regional Outlook

Portfolio managers from BNY Mellon Asset Management's worldwide investment boutiques offer their views on the sustainability of this year's market rebound, from the perspective of five global regions.

Authors:   Jamie Lewin, Raj Shant, Javier Murcio, Hugh Simon
Business:   Investment Management
Publication date:   September 2009


Evaluating the Glidepath of Target Date Maturity Funds

Glidepaths help determine portfolio asset allocation in target date maturity funds. Ralph Goldsticker of Mellon Capital Management Corporation explores the role glidepaths play in the expected performance of those funds.

Author:   Ralph Goldsticker
Business:   Investment Management
Publication date:   August 2009


Investment Management for Cash Balance Plans

Al Trezza of BNY Mellon Asset Management explains why traditional investment strategies for defined benefit plans may not be the best fit for the increasingly popular cash balance plans.

Author:   Albert Trezza
Business:   Investment Management
Publication date:   August 2009


Good Investing Knows No Borders

Kirk Henry and Andrea Clark of The Boston Company Asset Management revisit the case for international investing in the wake of the financial crisis.

Authors:   Kirk Henry, Andrea Clark
Business:   Investment Management
Publication date:   July 2009


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