notizie.

Opaque macro signals call for trend strategies in multi asset
multi-assetAsset Management
multi-assetAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersConsultantsOfficial institutionsmulti-assetmacroGeronne IndependantsInstitutionalInsuranceEndowmentsFund of fundsMacro

Opaque macro signals call for trend strategies in multi asset

Trend-following strategies can help multi-asset portfolios adapt to risks that are otherwise difficult to observe.

Finanza integrata: la battaglia finale per il cliente
equitiesAsset Management
equitiesAsset ManagementInstitutionalInvestment strategiesDBConsultantsInsuranceDCOfficial institutionsequitiesWholesaleThird party asset managersFinTechGeronne IndependantsBanksEndowmentsFund of funds

Finanza integrata: la battaglia finale per il cliente

Le banche e gli altri operatori storici si troveranno ad affrontare una crescente minaccia competitiva da parte di rivali esperti di tecnologia che forniscono servizi attraverso la finanza incorporata. 

Riportare l’equilibrio nel capitalismo: il prossimo decennio
equitiesAsset Management
equitiesAsset Managementfixed incomeconvertiblesequitiesalternativesDCDBBanksWholesaleThird party asset managersmulti-assetOfficial institutionsmacroConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of fundsMacro

Riportare l’equilibrio nel capitalismo: il prossimo decennio

Gli ultimi 40 anni hanno portato a squilibri e a grandi disuguaglianze di ricchezza. L'imperativo di correggere questa situazione avrà implicazioni significative per l'economia.

Riportare l’equilibrio nel capitalismo: il prossimo decennio
multi-assetAsset Management
multi-assetAsset Managementfixed incomeconvertiblesequitiesalternativesDCDBBanksWholesaleThird party asset managersmulti-assetOfficial institutionsmacroConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of fundsMacro

When will the recession come to our shores?

Gli ultimi 40 anni hanno portato a squilibri e a grandi disuguaglianze di ricchezza. L'imperativo di correggere questa situazione avrà implicazioni significative per l'economia.

Arctic plastics, low-carbon milk and banks’ CO2 disclosures: key sustainability news
sustainable investmentSustainability
sustainable investmentSustainabilityAsset ManagementNatural CapitalDCDBBanksThemesOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

Arctic plastics, low-carbon milk and banks’ emissions disclosures: key sustainability news

From plastic reaching the arctic to milk adopting a low-carbon approach, here we discuss the top key sustainability news of the month. 

Investire nei leader della transizione climatica
equitiesSustainability
equitiesSustainabilityClimate changeAsset ManagementInvestment strategiesequitiesDCDBBanksThemesPlanetary TransitionOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Investire nei leader della transizione climatica

Gli investitori devono essere in grado di riconoscere quali aziende sono meglio posizionate per i cambiamenti normativi, tecnologici e di mercato che li attendono.

Recession in Q2? What key economic data say
multi-assetAsset Management
multi-assetAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersConsultantsOfficial institutionsmulti-assetmacroGeronne IndependantsInstitutionalInsuranceEndowmentsFund of fundsMacro

Recession in Q2? What key economic data say

Will the likely slowdown in economic activity result in recession? We assess two key data points: economic surprises and activity.

Adattarsi al cambiamento climatico attraverso l’investimento azionario
equitiesSustainability
equitiesSustainabilityClimate changeAsset ManagementInvestment strategiesequitiesDCDBBanksThemesPlanetary TransitionOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Adattarsi al cambiamento climatico attraverso l’investimento azionario

La nostra strategia azionaria high conviction Climate Transition è direttamente allineata con il mercato in espansione per le soluzioni di resilienza climatica.

CIO views: are inflation concerns over-inflated?
cross assetAsset Management
cross assetAsset Managementfixed incomeconvertiblesInvestment strategiesequitiesalternativesDCDBBanksWholesalemulti-assetOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

CIO views: are inflation concerns over-inflated?

Are investors over-reacting to the long-term outlook for inflation? Our CIOs present their views by asset class.

Attractive entry points in US and European fixed income
fixed incomeAsset Management
fixed incomeAsset Managementfixed incomeInvestment strategiesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Attractive entry points in US and European fixed income

The aggressive fixed income selloff has put US and European yields and credit spreads at very compelling valuation ranges for long-term investors, in our view. 

Commodities strike back
multi-assetAsset Management
multi-assetAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersOfficial institutionsmulti-assetConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Commodities strike back

Market pricing indicates that the strong performance of commodities is far from over.

Analyzing liquidity in the Swiss bond market
fixed incomeAsset Management
fixed incomeAsset Managementfixed incomeSwiss Franc bondsInvestment strategiesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Analysing liquidity in the Swiss bond market

Liquidity in the CHF bond market is usually considered to be rather low relative to other asset classes. This paper examines the phenomenon. 

LOIM rafforza le competenze in materia di sostenibilità  con la nomina del Dr. Ruben Lubowski  quale nuovo Chief Carbon and Environmental Markets Strategist
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media releasesAsset ManagementCorporateDCDBBanksThemesOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

LOIM rafforza le competenze in materia di sostenibilità con la nomina del Dr. Ruben Lubowski quale nuovo Chief Carbon and Environmental Markets Strategist

Lombard Odier Investment Managers rafforza le competenze in materia di sostenibilità con la nomina del Dr. Ruben Lubowski quale nuovo Chief Carbon and Environmental Markets Strategist. La strategia globale incentrata sul carbonio sarà lanciata nei prossimi mesi

Liquidità: amica o nemica degli investitori?
alternativesAsset Management
alternativesAsset ManagementInvestment strategiesequitiesalternativesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Liquidità: amica o nemica degli investitori?

Dato il ruolo cruciale svolto dalla liquidità, la nostra strategia ADAPT ha messo a punto un modello che cerca di aiutare gli investitori a non farsi cogliere impreparati dalle strette di liquidità. 

Cubetti di ghiaccio, tizzoni ardenti e la strada verso lo zero netto: episodio 1
sustainable investmentSustainability
sustainable investmentSustainabilityAsset ManagementInvestment strategiesfixed incomeThemesequitiesNet ZeroDCDBBanksClimate bondsCircular EconomyOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

Cubetti di ghiaccio, tizzoni ardenti e la strada verso lo zero netto: episodio 1

Audiocast

Il primo episodio della nostra nuova serie di podcast dedicati ai cubetti di ghiaccio, ai tizzoni ardenti e alla strada verso lo zero netto è dedicato all’impatto economico del cambiamento climatico.

In che modo LOIM affronta la sfida della gestione forestale?
equitiesSustainability
equitiesSustainabilityAsset ManagementNatural CapitalThemesequitiesDCDBBanksInvestment strategiesCircular EconomyOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

In che modo LOIM affronta la sfida della gestione forestale?

La gestione forestale è una delle strategie chiave per mettere un freno alla perdita di biodiversità a livello globale. In che modo la strategia Natural Capital di LOIM raccoglie questa sfida?   

The real cost of funding
multi-assetAsset Management
multi-assetAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersConsultantsOfficial institutionsmulti-assetmacroGeronne IndependantsInstitutionalInsuranceEndowmentsFund of fundsMacro

The real cost of funding

Central bank tightening will likely lead to higher market real rates and could prolong the current value/growth equity rotation. Diversification is key.

Impulso strategico a favore dell’energia sostenibile in Europa
fixed incomeSustainability
fixed incomeSustainabilityAsset ManagementInvestment strategiesfixed incomeThemesClimate bondsDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of fundsMacroOil crisis

Impulso strategico a favore dell’energia sostenibile in Europa

La transizione dell’Europa verso l’energia verde sta accelerando sulla scia di nuove politiche. Quali sono le implicazioni per gli investitori in obbligazioni sostenibili? 

Oil shocks and their impact on fixed-income markets
fixed incomeAsset Management
fixed incomeAsset Managementfixed incomeInvestment strategiesGFIODCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of fundsMacroOil crisis

Oil shocks and their impact on fixed-income markets

What lessons from past oil shock episodes can help us understand the impact of the current situation on fixed income markets? Here is our breakdown of the scenario analysis.

Volatility brings credit opportunities as solvency remains stable
fixed incomeAsset Management
fixed incomeAsset Managementfixed incomeCrossoverInvestment strategiesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Volatility brings credit opportunities as solvency remains stable

Even as volatility is on the rise from the current supply-side shock in the market, what credit opportunities lie hidden for investors?

Commodity dichotomy: diverging outlooks in emerging-market debt
fixed incomeAsset Management
fixed incomeAsset Managementfixed incomeInvestment strategiesEM local currency debtDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Commodity dichotomy: diverging outlooks in emerging-market debt

Spiralling commodity inflation on the back of the Russia-Ukraine war is causing a divergent outlook for emerging market debt. What are the risks and opportunities for investors in such a scenario?

How the fight against inflation is shifting developed-world bond markets
fixed incomeAsset Management
fixed incomeAsset Managementfixed incomeInvestment strategiesGFIODCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

How the fight against inflation is shifting developed-world bond markets

With the central banks waging war on inflation, how is the outlook for developed-world bond markets changing? 

Nominal growth matters more than real growth – for now
multi-assetAsset Management
multi-assetAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersOfficial institutionsmulti-assetConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Nominal growth matters more than real growth – for now

Recent equity resilience can be attributed to strong nominal growth, driven by inflation, even though real growth is slowing.

Shocked, not awed: adapting to the new fixed-income outlook
fixed incomeAsset Management
fixed incomeAsset Managementfixed incomeInvestment strategiesGFIODCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Shocked, not awed: adapting to the new fixed-income outlook

In the lead commentary of the Q2 2022 issue of Alphorum, we ask: what fixed-income scenarios could result from the Russia-Ukraine conflict, and what do oil shocks typically mean for our markets?   

Investment Implications of a Greening World
sustainable investmentAsset Management
sustainable investmentAsset Managementfixed incomeconvertiblesTNZ Fixed IncomeInvestment strategiesequitiesTargetNetZero Global Convertible BondDCDBBanksTNZ equitiesOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Webinar | Investment Implications of a Greening World

Cosa predice il successo in un mondo più verde? Nel primo episodio della nostra serie di webinar trimestrali "The Green Room", i nostri relatori per gli investimenti sostenibili discutono i risultati chiave di un recente studio pubblicato nell'ambito della nostra partnership di ricerca con l'Università di Oxford.

Upcycling plastic, EV accelerations, ECB targets climate risk: key sustainability news in March
sustainable investmentSustainability
sustainable investmentSustainabilityAsset ManagementNatural CapitalDCDBBanksThemesOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

Upcycling plastic, EV accelerations, ECB targets climate risk: key sustainability news in March

From innovative plastic upcycling and a new waste-reduction law, to US efforts to keep pace in the electric-vehicle race and European authorities zeroing-in on banks’ climate exposures, we cover the top macroeconomic, corporate and financial stories that sustainable investors need to know.  

Inflation to stagflation: navigating intensifying risk in multi-asset
multi-assetAsset Management
multi-assetAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersOfficial institutionsmulti-assetConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Inflation to stagflation: navigating intensifying risk in multi-asset

How real is the risk of stagflation, and how should multi-asset investors respond? In the Q2 2022 edition of Simply put, we provide macro, market and portfolio perspectives.

How will rising stagflation risks affect Switzerland?
fixed incomeAsset Management
fixed incomeAsset Managementfixed incomeSwiss Franc bondsInvestment strategiesDCDBBanksWholesaleThird party asset managersOfficial institutionsmacroConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of fundsMacro

How will rising stagflation risks affect Switzerland?

The risk of stagflation is growing as rising global inflation threatens growth. How does this impact the Swiss economic outlook? 

Taking stock of stagflation risk in multi-asset
multi-assetAsset Management
multi-assetAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersOfficial institutionsmulti-assetConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Taking stock of stagflation risk in multi-asset

What do geopolitical and macroeconomic events mean for multi-asset portfolios? Simply put makes the case for remaining diversified and using cash as a diversifier.

Futureturns – il consumatore nell’era post-pandemica
equitiesCircular economy
equitiesCircular economySustainabilityAsset ManagementInvestment strategiesThemesequitiesEuropean equitiesWholesaleDCDBBanksOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Futureturns – il consumatore nell’era post-pandemica

In questa edizione lancio di Futurereturns – il nostro nuovo rapporto trimestrale sulle tendenze d’investimento nei mercati azionari – esaminiamo la forza dei consumi nell’era post-pandemica.

Adapting to the risk of stagflation shock
multi-assetAsset Management
multi-assetAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersOfficial institutionsmulti-assetConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Adapting to the risk of stagflation shock

Persistent inflation and rising commodity prices are raising the likelihood of a stagflation shock – in such a scenario, uncertain investors should turn to cash as a potential hedge.

Quali sono le tre principali conclusioni per gli investitori tratte dall’ultimo rapporto IPCC?
sustainable investmentSustainability
sustainable investmentSustainabilityAsset ManagementClimate changeThemesequitiesDCDBBanksInvestment strategiesPlanetary TransitionOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Quali sono le tre principali conclusioni per gli investitori tratte dall’ultimo rapporto IPCC?

L’ultimo rapporto IPCC traccia un quadro alquanto cupo dell’impatto del cambiamento climatico sul nostro pianeta. Quali sono le principali conclusioni per gli investitori?

Donne e clima: un forte squilibrio
sustainable investmentSustainability
sustainable investmentSustainabilityAsset ManagementClimate changeThemesDCDBBanksInvestment strategiesWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Donne e clima: un forte squilibrio

Il cambiamento climatico non ha neutralità di genere e ha un effetto sproporzionato sulle donne. Una crisi che potrebbe essere attenuata coinvolgendo le donne nel sistema economico.  

Could Europe's energy crisis raise contagion risk?
multi-assetAsset Management
multi-assetAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersOfficial institutionsmulti-assetConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of fundsMacro

Could Europe's energy crisis raise contagion risk?

The energy price shock is currently centred in Europe, but investors should not underestimate the risk of contagion elsewhere.

Il prossimo decennio: un paradigma del tutto nuovo
equitiesAsset Management
equitiesAsset Managementfixed incomeconvertiblesequitiesalternativesDCDBBanksWholesaleThird party asset managersmulti-assetOfficial institutionsmacroConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of fundsMacro

Il prossimo decennio: un paradigma del tutto nuovo

Negli ultimi 40 anni l’evoluzione a livello globale è stata contraddistinta da un costo del capitale straordinariamente basso. Il prossimo decennio le cose potrebbero essere molto diverse.    

Europe’s energy shock driven by the conflict in Ukraine
equitiesSustainability
equitiesSustainabilityAsset ManagementInvestment strategiesThemesequitiesEuropean equitiesNet ZeroDCDBBanksOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInsuranceInstitutionalEndowmentsFund of fundsMacroOil crisis

Europe’s energy shock driven by the conflict in Ukraine

Europe is facing an energy shock, due to rising prices, that has widespread implications for equity investors. 

Should surging commodities challenge hawkish central banks?
multi-assetAsset Management
multi-assetAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersOfficial institutionsmulti-assetConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Should surging commodities challenge hawkish central banks?

A commodities supply shock could trigger consumption and earnings weakness, calling the Fed’s hawkish stance into question.

Qual è il modo migliore di misurare la decarbonizzazione del portafoglio?
sustainable investmentSustainability
sustainable investmentSustainabilityAsset ManagementTNZ Fixed Incomefixed incomeconvertiblesThemesInvestment strategiesequitiesTargetNetZero Global Convertible BondDCDBBanksNet ZeroOfficial institutionsTNZ equitiesWholesaleThird party asset managersConsultantsGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

Qual è il modo migliore di misurare la decarbonizzazione del portafoglio?

Gli investitori potrebbero adottare vari approcci per decarbonizzare i portafogli. Quali sono le scelte possibili e perché prediligiamo l’aumento implicito della temperatura (ITR)?

IPCC sounds alarm, hydrogen-powered transport, scope 3 in focus: key sustainability news in February
sustainable investmentBiodiversity
sustainable investmentBiodiversitySustainabilityAsset ManagementThemesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

IPCC sounds alarm, hydrogen-powered transport, scope 3 in focus: key sustainability news in February

What major sustainability news from the policy, corporate and financial worlds in recent weeks mattered to investors? We review the top headlines from the past month.

CIO views: investing as war in Ukraine, inflation shape the outlook
cross assetSustainability
cross assetSustainabilityAsset ManagementInvestment strategiesfixed incomeconvertiblesThemesequitiesalternativesDCDBBanksWholesalemulti-assetOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of fundsMacro

CIO views: investing as war in Ukraine, inflation shape the outlook

Volatility, inflation and the Russia-Ukraine conflict are challenging the market outlook for 2022. Our CIOs consider the context across asset classes.

Understanding Swiss credit risk through DTS
fixed incomeAsset Management
fixed incomeAsset Managementfixed incomeSwiss Franc bondsInvestment strategiesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Understanding Swiss credit risk through DTS

How do we analyse two types of credit risk – the probability of default and the sensitivity of returns to market moves – in a Swiss context? 

I vantaggi delle obbligazioni convertibili nei periodi di incertezza
convertible bondsAsset Management
convertible bondsAsset ManagementconvertiblesInvestment strategiesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

I vantaggi delle obbligazioni convertibili nei periodi di incertezza

L’incertezza crea condizioni favorevoli per il profilo di rendimento asimmetrico delle obbligazioni convertibili: si direbbe che la volatilità sia una condizione che si addice a questa assset class.

How the Russia-Ukraine war could impact equities
equitiesAsset Management
equitiesAsset ManagementInvestment strategiesequitiesEuropean equitiesWholesaleDCDBBanksOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of fundsMacroOil crisis

How the Russia-Ukraine war could impact equities

What can past geopolitical shocks tell us about the potential impact on equities, and how could disruption to Russia’s energy exports exacerbate inflation?  

10 anni di All Roads: la strategia multi-asset dinamica e flessibile
multi-assetAsset Management
multi-assetAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersOfficial institutionsmulti-assetConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

10 anni di All Roads: la strategia multi-asset dinamica e flessibile

In occasione del 10° anniversario della nostra strategia multi-asset All Roads esaminiamo in che modo la strategia è stata in grado di generare rendimenti stabili e valutiamo i probabili sviluppi futuri.

How worried should investors be about the Russia-Ukraine conflict?
multi-assetAsset Management
multi-assetAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersOfficial institutionsmulti-assetConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

How worried should investors be about the Russia-Ukraine conflict?

Tensions are high, but should investors fear a bear market?

Quali sono le prospettive per gli investimenti nell’idrogeno pulito?
equitiesAsset Management
equitiesAsset ManagementInvestment strategiesequitiesDCDBBanksPlanetary TransitionOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Quali sono le prospettive per gli investimenti nell’idrogeno pulito?

Dove è diretto il mercato dell’idrogeno verde? Analizziamo il potenziale di crescita di questo promettente segmento del mercato dell’energia pulita.

Inflation normalisation will require quarters of patience and policymaker skill
multi-assetAsset Management
multi-assetAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersOfficial institutionsmulti-assetConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Inflation normalisation will require quarters of patience and policymaker skill

Inflation should moderate in the coming quarters – but achieving this without derailing growth will require well-calculated monetary policy tightening.

All Roads: 5 years of growth
multi-assetAsset Management
multi-assetAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersOfficial institutionsmulti-assetConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

All Roads: 5 years of growth

Celebrating its 5-year anniversary, All Roads Growth put the emphasis on a more ambitious approach to risk and return in a diversified multi-asset strategy.

Webinar | I fallen angel spiccano il volo
fixed incomeAsset Management
fixed incomeAsset ManagementTNZ Fixed Incomefixed incomeThemesInvestment strategiesequitiesDCDBBanksEmerging marketsTNZ equitiesOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Webinar | I fallen angel spiccano il volo

Guarda il Replay del nostro webinar Fallen Angels per scoprire come l’investimento in emissioni declassate rappresenti un’opportunità interessante per gli investitori obbligazionari del16 Marzo 2022.

Stick to your bonds
multi-assetAsset Management
multi-assetAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersOfficial institutionsmulti-assetConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Stick to your bonds

The investment case for bonds is improving in line with the rising risk of a monetary policy mistake.