Diversity in the workplace and its relationship with meritocracy
In our latest paper we explore what diversity really means and how it can positively impact the investment industry.
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In our latest paper we explore what diversity really means and how it can positively impact the investment industry.
In a world increasingly averse to risk and intolerant of inequality, we explore the growing importance and effectiveness of sustainable factor investing.
In this whitepaper we discuss how institutions can overcome the challenges with regards to proxy voting and maximize the opportunities with regards to responsible investment.
Senior Secured Loans have been gaining interest from European insurers. This paper considers how the asset class may fit within an insurance company’s investment strategy.
Investors need income, but how can it be generated in a low-return environment? We present three alternative real estate asset classes that may cater to investors’ income needs: European hotels, US real estate and global income securities.
Our third global factor investing study draws on views and opinions from 300 interviews with institutional and wholesale factor investors to provide insights on a wide range of themes including factor adoption and allocations, perceived barriers and future intentions.
European investors continue to face low yields in the investment grade universe, they are looking for ways to deliver risk-adjusted returns and improve diversification. US fixed income universe could be a good option for European-based insurers.
Senior Secured Loans have been gaining interest from European insurers. This paper considers how the asset class may fit within an insurance company’s investment strategy.
We believe the adoption of fixed income factors allows investors to better decide which risks and returns are appropriate for their portfolios. We discuss our four-factor model for credit – liquidity, quality, value, momentum and the multi-factor approach.
In our first ‘Future of Europe’ white paper, former Deputy Prime Minister of Poland Jacek Rostowski and Invesco Global Market Strategist Arnab Das analyse the tensions reshaping Europe in the era of Brexit, Trump and Putin.