Actualités.

Europe – the tide is turning
investment viewpointsAsset Management
investment viewpointsAsset ManagementInvestment strategiesequitiesEuropean equitiesWholesaleDCDBBanksOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Europe – the tide is turning

We believe the conditions are now right to reconsider European equities, a traditional consensual underweight in global investors’ portfolios.

La santé, notre seule richesse
investment viewpointsSustainability
investment viewpointsSustainabilityThemesAsset ManagementInvestment strategiesequitiesClimate bondsDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsFinTechGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

La santé, notre seule richesse

Nous pensons que les initiatives visant à améliorer le système de santé à moindre coût auront le vent en poupe au cours de la prochaine décennie.

La révolution de la mobilité
investment viewpointsMobility
investment viewpointsMobilityThemesSustainabilityAsset ManagementClimate bondsequitiesInvestment strategiesDCDBBanksPlanetary TransitionOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

La révolution de la mobilité

Nous pensons être à l’aube début de la révolution des transports. Celle-ci aura pour objectif de répondre aux questions complexes liées aux émissions dues au développement économique.

Pandemic impact on credit: default risk
investment viewpointsAsset Management
investment viewpointsAsset Managementfixed incomeCrossoverDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Pandemic impact on credit: default risk

The pandemic spurred a selloff of corporate bond markets that brought higher yields back into the fray as it raised concern about default risks from the economic shutdown.

Asia policy response to the pandemic
global perspectivesAsset Management
global perspectivesAsset ManagementInvestment strategiesfixed incomeThemesAsia high convictionequitiesEmerging marketsAsia value bondsClimate bondsDCDBBanksAll RoadsEM local currency debtWholesaleThird party asset managersConsultantsOfficial institutionsmulti-assetmacroGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Asia policy response to the pandemic

Asian economies have delivered innovative, thoughtful policy response to the pandemic. We believe this will further support Asian credit markets. 

CIO views: mapping trends from change
investment viewpointsSustainability
investment viewpointsSustainabilityThemesAsset Managementfixed incomeconvertiblesequitiesDCDBBanksPlanetary Transitionmulti-assetOfficial institutionsWholesaleTracker + ESGThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

CIO views: mapping trends from change

Our CIOs explore the theme of change as expressed through long-term trends, considering how LOIM strategies stand to benefit.

Embracing change through trends investing
loim tubeAsset Management
loim tubeAsset ManagementequitiesDCDBBanksWholesaleOfficial institutionsConsultantsWorld BrandsFinTechGolden AgeGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

Embracing change through trends investing

Webcast

A number of long-term trends are reshaping the global landscape. These structural trends can provide rich and varied sources of potential outperformance.

Pourquoi est-il judicieux d’investir dans les tendances ?
investment viewpointsSustainability
investment viewpointsSustainabilityThemesAsset ManagementequitiesDCDBBanksWholesaleOfficial institutionsThird party asset managersWorld BrandsConsultantsGolden AgeFinTechGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

Pourquoi est-il judicieux d’investir dans les tendances ?

Chez Lombard Odier, nous pensons que les investisseurs peuvent saisir les opportunités offertes par les méga-tendances et les méga-défis, grâce à une approche d'investissement fondée sur les tendances.

Les mégatendances et mégadéfis transforment notre monde
investment viewpointsSustainable business
investment viewpointsSustainable businessAsset ManagementSustainabilityequitiesDCDBBanksWholesaleOfficial institutionsThird party asset managersWorld BrandsConsultantsGolden AgeFinTechGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

Les mégatendances et mégadéfis transforment notre monde

Les mégadéfis et les mégatendances présentent des opportunités d’investissement majeures, sources de rendements durables à long terme.                                                                                                                           

L’impact de la pandémie sur le crédit : opportunités sectorielles
investment viewpointsAsset Management
investment viewpointsAsset Managementfixed incomeconvertiblesequitiesCrossoverDCDBBanksWholesaleTracker + ESGmulti-assetOfficial institutionsmacroThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

L’impact de la pandémie sur le crédit : opportunités sectorielles

Les ventes massives et systématiques des obligations d’entreprise ne sont pas représentatives de l’exposition des différents secteurs à la pandémie, ce qui a créé des opportunités.

Discovering and investing in the most valuable brands of the future
investment viewpointsAsset Management
investment viewpointsAsset ManagementequitiesDCDBBanksWholesaleOfficial institutionsThird party asset managersWorld BrandsConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Découvrir et investir dans les marques les plus puissantes de demain

Pour investir dans les marques mondiales les plus puissantes de demain, la compréhension des tendances de long terme à l’origine des changements sociétaux et de consommation est une condition sine qua non.

CIO view: a stark new decade
investment viewpointsAsset Management
investment viewpointsAsset Managementfixed incomeconvertiblesequitiesalternativesDCDBBanksWholesalemulti-assetOfficial institutionsTracker + ESGThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

CIO view: a stark new decade

The last decade was about low volatility and the triumph of passive investments. Welcome to a very different decade.

Crédit : rendons à César ce qui est à César
white papersAsset Management
white papersAsset ManagementCrossoverfixed incomeconvertiblesequitiesSwiss Franc bondsalternativesDCDBBanksWholesaleTracker + ESGmulti-assetOfficial institutionsmacroThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Crédit : rendons à César ce qui est à César

Les obligations d’entreprise pourraient manifestement permettre aux investisseurs de long terme de remédier à la problématique des faibles rendements de ces dernières années.

Investir dans la transition vers une économie zéro émission nette
investment viewpointsSustainability
investment viewpointsSustainabilityThemesAsset Managementfixed incomeconvertiblesequitiesCorporateDCDBBanksalternativesmulti-assetOfficial institutionsPlanetary TransitionWholesaleTracker + ESGThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Investir dans la transition vers une économie zéro émission nette

Notre stratégie Climate Transition capte les opportunités offertes par l’ensemble des secteurs du fait de la mutation urgente et indispensable vers une économie zéro émission nette mais aussi de l’impérieuse adaptation au réchauffement climatique.

Comment la FinTech pourrait tirer parti de la crise ?
investment viewpointsSustainability
investment viewpointsSustainabilityThemesAsset ManagementequitiesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsFinTechGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

Comment la FinTech pourrait tirer parti de la crise ?

La pandémie devrait agir comme un puissant moteur d’accélération des tendances numériques, créant des opportunités considérables pour les entreprises de technologie financière (connues sous le terme de FinTech), selon nous.

 

Pourquoi l’avenir est à la FinTech ?
investment viewpointsSustainability
investment viewpointsSustainabilityThemesAsset ManagementequitiesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsFinTechGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

Pourquoi l’avenir est à la FinTech ?

Dans cette vidéo, le gérant de portefeuille Jeroen van Oerle expose cinq convictions fondamentales qui détermineront selon nous les opportunités d’investissement de cet univers au cours des dix prochaines années.

CIO views: seizing policy-driven opportunities
investment viewpointsSustainability
investment viewpointsSustainabilityThemesAsset Managementfixed incomeconvertiblesequitiesalternativesDCDBBanksPlanetary Transitionmulti-assetOfficial institutionsWholesaleTracker + ESGThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

CIO views: seizing policy-driven opportunities

Our CIOs sift through extraordinary central bank intervention, examining the opportunities created for investors across asset classes.

Pull and push: pandemic damage vs central bank policy
global perspectivesAsset Management
global perspectivesAsset Managementfixed incomeconvertiblescash strategiesInvestment strategiesequitiesAsia high convictionDCDBBanksAll RoadsalternativesPlanetary TransitionWholesaleOfficial institutionsmulti-assetmacroTracker + ESGThird party asset managersConsultantsGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

Pull and push: pandemic damage vs central bank policy

A 'pull and push' is emerging between ongoing damage from the pandemic, and extraordinary central bank intervention.

L’accent est mis sur la qualité, car la pandémie crée des distorsions sur le marché du crédit libellé en francs suisses
investment viewpointsAsset Management
investment viewpointsAsset ManagementAlternative risk premiafixed incomeSwiss Franc bondsconvertiblesInvestment strategiesequitiesDCDBBanksSwiss equitiesWholesalemulti-assetOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

L’accent est mis sur la qualité, car la pandémie crée des distorsions sur le marché du crédit libellé en francs suisses

Les perturbations induites par le COVID-19 ont renforcé le franc suisse et faussé les prix des obligations d’entreprise. Comment la BNS va-t-elle réagir ? Pourquoi la liquidité et la qualité sont-elles plus importantes que jamais ?

Lombard Odier Investment Managers lance la stratégie Global FinTech
media releasesSustainability
media releasesSustainabilityAsset ManagementThemesequitiesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsFinTechGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

Lombard Odier Investment Managers lance la stratégie Global FinTech

Cette nouvelle stratégie thématique vise à capturer la valeur issue de l'expansion mondiale des services de technologie financière.

De quelle manière la FinTech favorise-t-elle l’inclusion financière ?
investment viewpointsSustainability
investment viewpointsSustainabilityThemesAsset ManagementequitiesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsFinTechGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

De quelle manière la FinTech favorise-t-elle l’inclusion financière ?

En élargissant l’accès aux services financiers, la FinTech peut permettre l’implémentation d’une société plus inclusive. Cette inclusion plus large s’applique tant aux marchés émergents qu’aux marchés développés.

Votre appétit au risque est-il récompensé à sa juste valeur ?
investment viewpointsAsset Management
investment viewpointsAsset Managementfixed incomeSwiss Franc bondsconvertiblesCrossoveralternativesDCDBBanksWholesalemulti-assetOfficial institutionsConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Votre appétit au risque est-il récompensé à sa juste valeur ?

Notre stratégie « crossover » maintient une notation investment grade moyenne et sélectionne les titres à haut rendement les plus qualitatifs (y compris les « anges déchus ») en vue d’optimiser les rendements.

CIO views: Managing risk and volatility with upside
investment viewpointsSustainability
investment viewpointsSustainabilityThemesAsset Managementfixed incomeconvertiblesequitiesalternativesDCDBBanksPlanetary Transitionmulti-assetOfficial institutionsWholesaleTracker + ESGThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

CIO views: Managing risk and volatility with upside

We believe indiscriminate selling has created attractive relative value opportunities, but this is not the time for indiscriminate buying.

Floor under markets but not under the economy
global perspectivesAsset Management
global perspectivesAsset Managementfixed incomeconvertiblescash strategiesInvestment strategiesequitiesAsia high convictionDCDBBanksSwiss equitiesAll RoadsalternativesPlanetary TransitionSystematic equitiesOfficial institutionsmulti-assetWholesalemacroTracker + ESGThird party asset managersConsultantsInsuranceGeronne IndependantsInstitutionalEndowmentsFund of funds

Floor under markets but not under the economy

Extraordinary government and central bank stimulus have put a floor under markets, but the economic outlook remains clouded by uncertainty.

Cap sur les obligations convertibles
investment viewpointsSustainability
investment viewpointsSustainabilityThemesAsset Managementfixed incomeconvertiblesequitiesalternativesDCDBBanksWholesalemulti-assetOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Cap sur les obligations convertibles

Les obligations convertibles offrent une opportunité à saisir pour les investisseurs : un rendement généreux sur de la dette senior de qualité et une option à long terme fortement décotée sur les actions.

Regime shifts in EM amid dual shocks
white papersAsset Management
white papersAsset Managementfixed incomeequitiesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Regime shifts in EM amid dual shocks

Emerging markets will not emerge unscathed from this crisis. A highly selective approach to EM investing is required.

Opportunity and recovery: potential next steps for DB pension plans
investment viewpointsAsset Management
investment viewpointsAsset Managementfixed incomeDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Opportunity and recovery: potential next steps for DB pension plans

There are a few points for pension schemes to consider that we believe can truly help to manoeuvre through such challenging times.

COVID-19: Seeking solace in numbers
white papersAsset Management
white papersAsset ManagementequitiesalternativesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

COVID-19: Seeking solace in numbers

An alternative data perspective of the initial trends and economic implications of the COVID-19 pandemic.

Multi-Asset: The roller coaster continues
loim tubeAsset Management
loim tubeAsset ManagementDCDBBanksAll RoadsWholesaleConsultantsOfficial institutionsmulti-assetGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Multi-Asset : Les montagnes russes continuent

Webinar

Les stratégies défensives sont au cœur de nos portefeuilles multi-actifs. Nos experts partagent leurs points de vue sur la manière de naviguer dans les conditions actuelles du marché.

CIO views: identifying genuine relative value opportunities
investment viewpointsSustainability
investment viewpointsSustainabilityThemesAsset ManagementequitiesDCDBBanksPlanetary TransitionOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

CIO views: identifying genuine relative value opportunities

We believe indiscriminate selling has created attractive relative value opportunities, but this is not the time for indiscriminate buying.

Dispersion in a LUV-shaped recovery
global perspectivesAsset Management
global perspectivesAsset Managementfixed incomeconvertiblescash strategiesInvestment strategiesequitiesAsia high convictionDCDBBanksSwiss equitiesAll RoadsalternativesPlanetary TransitionSystematic equitiesOfficial institutionsmulti-assetWholesalemacroTracker + ESGThird party asset managersConsultantsInsuranceGeronne IndependantsInstitutionalEndowmentsFund of funds

Dispersion in a LUV-shaped recovery

Market sentiment appears to be stabilising, but we expect a fragmented recovery will continue to create dispersion and relative value opportunities.

Convertibles - a shelter from this storm?
loim tubeAsset Management
loim tubeAsset ManagementconvertiblesDCDBBanksWholesaleOfficial institutionsConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Convertibles - a shelter from this storm?

Audiocast

In this audiocast, Maxime Perrin, Senior Analyst Convertible Bonds, will explain how convertibles could take advantage of dislocations.

FinTech universe of opportunites
loim tubeAsset Management
loim tubeAsset ManagementThemesfixed incomeAsia value bondsDCDBBanksWholesaleOfficial institutionsConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Asia bonds value-focused for upside potential

Audiocast

In this on-demand audiocast, Diraj Bajaj, Head of Asian Credit and Lead Portfolio Manager, will explain the current market situation and fund performance.

Defensive layers and yield opportunities
loim tubeAsset Management
loim tubeAsset Managementfixed incomeDCDBBanksWholesaleOfficial institutionsConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Defensive layers and yield opportunities

Audiocast

In this audiocast, CIO Fixed Income Yannik Zufferey, explains the current market situation and the implications for corporate credit strategies. 

FinTech universe of opportunites
loim tubeAsset Management
loim tubeAsset ManagementThemesequitiesDCDBBanksWholesaleOfficial institutionsConsultantsFinTechGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

FinTech universe of opportunities

Webcast

Financial technology disrupts existing financial services. In this webinar, portfolio manager Jeroen van Oerle shares his views on the future of FinTech.

CIO views: Strong defense for resilience
investment viewpointsSustainability
investment viewpointsSustainabilityThemesAsset ManagementequitiesDCDBBanksPlanetary TransitionOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

CIO views: Strong defense for resilience

Our CIOs explain why we believe that the best offense is a strong defense, especially in the current environment.

Caution as COVID-19 clouds outlook
global perspectivesAsset Management
global perspectivesAsset Managementfixed incomeconvertiblescash strategiesequitiesInvestment strategiesDCDBBanksAll RoadsalternativesWholesaleTracker + ESGOfficial institutionsmulti-assetmacroThird party asset managersConsultantsGeronne IndependantsInsuranceInstitutionalEndowmentsFund of fundsCovid-19Macro

Caution as COVID-19 clouds outlook

We have a cautious, somewhat defensive stance and are focusing on the opportunities that are forming. The recovery in China gives us reasons for optimism.

La fintech, c’est l’avenir
investment viewpointsSustainability
investment viewpointsSustainabilityThemesAsset ManagementequitiesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsFinTechGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

La fintech, c’est l’avenir

La fintech a déjà révolutionné les services financiers et se muera selon nous en un tout nouveau pan du secteur des services financiers, composé d’une très grande hétérogénéité d’acteurs.

Lombard Odier Investment Managers lance sa stratégie « Climate Transition »
media releasesSustainability
media releasesSustainabilityAsset ManagementThemesequitiesDCDBBanksPlanetary TransitionOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Lombard Odier Investment Managers lance sa stratégie «Climate Transition»

La stratégie cible les opportunités émanant d’un monde sous contrainte carbone et affecté par le changement climatique.

Les cinq raisons pour lesquelles le choc pétrolier et le COVID-19 peuvent se révéler favorables à l’investissement climatique
investment viewpointsSustainability
investment viewpointsSustainabilityThemesAsset ManagementequitiesDCDBBanksPlanetary TransitionOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Les cinq raisons pour lesquelles le choc pétrolier et le COVID-19 peuvent se révéler favorables à l’investissement climatique

Bien que certaines industries soient susceptibles de souffrir de l’impact de l’effondrement des cours du pétrole et du virus du COVID-19, nous nous attendons globalement à ce que ces éléments aient une incidencepositive.

La transition d’une économie GRISe vers une économie VERTe
investment viewpointsSustainable business
investment viewpointsSustainable businessThemesSustainabilityAsset Managementfixed incomeconvertiblesequitiesalternativesDCDBBanksPlanetary Transitionmulti-assetOfficial institutionsWholesaleTracker + ESGThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

La transition d’une WILD économie vers une CLIC économie

Nous devons nous éloigner d’une économie de gaspillage, redondante, inéquitable et sale (WILD) pour nous rapprocher d’une économie viable, efficace, répartie et transparente (CLIC).

Les améliorations environnementales dans les industries dont les émissions sont difficiles à réduire doivent impérativement se poursuivre
investment viewpointsSustainability
investment viewpointsSustainabilityThemesAsset Managementfixed incomeequitiesDCDBBanksPlanetary TransitionOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Les améliorations environnementales dans les industries dont les émissions sont difficiles à réduire doivent impérativement se poursuivre

Il est nécessaire d’adopter une approche plus globale afin de suivre la trajectoire des émissions mondiales, une approche qui va au-delà de la simple réduction de l’empreinte carbone.

Lombard Odier Investment Managers appoints Head of Stewardship
media releasesSustainability
media releasesSustainabilityAsset ManagementDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Lombard Odier Investment Managers appoints Head of Stewardship

Lombard Odier Investment Managers announces the appointment of Rebeca Coriat as Head of Stewardship, based in London.

Comment impliquer les secteurs dont les émissions carbone sont très élevées dans la lutte contre les effets du changement climatique ?
investment viewpointsSustainability
investment viewpointsSustainabilityThemesAsset Managementfixed incomeequitiesDCDBBanksPlanetary TransitionOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Comment impliquer les secteurs dont les émissions carbone sont très élevées dans la lutte contre les effets du changement climatique ?

Un certain nombre de stratégies et de solutions peuvent aider les entreprises à passer à une économie à zéro émission nette, en permettant à celles qui s’engagent dans la transition de réaliser des économies d’énergie et de coûts.

Coronavirus spread turns into a global risk
global perspectivesAsset Management
global perspectivesAsset Managementfixed incomeAsia high convictionequitiesAsia value bondsEM local currency debtEM high convictionDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Coronavirus spread turns into a global risk

Our views on the impact of COVID-19 remain fluid and are watching the resumption in China carefully to calibrate economic damage from the virus outbreak. 

Lombard Odier Investment Managers further reinforces its commitment to Convertibles
media releasesAsset Management
media releasesAsset ManagementconvertiblesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Lombard Odier Investment Managers further reinforces its commitment to Convertibles

Lombard Odier Investment Managers announces that it has bolstered its long-standing convertible bond franchise with the addition of two experienced professionals to the existing team.

S’adapter à l’inévitabilité du changement climatique
investment viewpointsSustainability
investment viewpointsSustainabilityThemesAsset ManagementequitiesDCDBBanksPlanetary TransitionOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

S’adapter à l’inévitabilité du changement climatique

Le Compartiment LO Climate Transition considère les mesures d’adaptation au changement climatique comme faisant partie intégrante de la transition climatique. 

De quelle manière la fintech transforme-t-elle les services financiers ?
investment viewpointsAsset Management
investment viewpointsAsset ManagementThemesInvestment strategiesequitiesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsFinTechGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

De quelle manière la fintech transforme-t-elle les services financiers ?

Jeroen van Oerle et Christian Vondenbusch débattent de la stratégie fintech et de la manière dont les technologies numériques font évoluer les services financiers et les entreprises.

Asian equities 2020 : risques, réactions et opportunités
investment viewpointsAsset Management
investment viewpointsAsset ManagementThemesconvertiblesInvestment strategiesEmerging marketsequitiesAsia high convictionDCDBBanksAll RoadsEM high convictionWholesaleThird party asset managersOfficial institutionsmulti-assetConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Asian equities 2020 : risques, réactions et opportunités

En 2020, l’Asie présente une variété de risques et d’opportunités. A notre avis, les actions asiatiques restent attrayantes en raison de la croissance continue des bénéfices et des valorisations peu exigeantes.

Crowding, timing and dispersion: a framework for ARP
investment viewpointsAsset Management
investment viewpointsAsset ManagementThemesAlternative risk premiafixed incomeconvertiblesInvestment strategiesalternativesDCDBBanksWholesalemulti-assetOfficial institutionsTracker + ESGThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Crowding, timing and dispersion: a framework for ARP

Academic Nick Baltas presents to LOIM his research on the impact of crowding, timing, and performance dispersion in alternative risk premia (ARP) investing.