notizie.

Loan growth aggravates risk of a monetary policy mistake
multi-assetAsset Management
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Loan growth aggravates risk of a monetary policy mistake

An increase in US bank loans could accelerate the Fed’s tightening agenda, amplifying 2022’s key risk – that of a monetary policy mistake.

Impegno per il clima: la decarbonizzazione nei settori dell’aviazione e dell’energia
sustainable investmentSustainability
sustainable investmentSustainabilityAsset ManagementClimate changeDCDBBanksThemesWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Impegno per il clima: la decarbonizzazione nei settori dell’aviazione e dell’energia

Il nostro primo caso di studio in materia di impegno per il clima ci trova a fianco delle aziende del portafoglio per aiutarle a ridurre l’esposizione al rischio climatico e sfruttare le opportunità di crescita.

Webinar | La serie “The Green Room”
sustainable investmentAsset Management
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Webinar | La serie “The Green Room”

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.

Quali sono le notizie di gennaio sulla sostenibilità che più hanno interessato gli investitori?
sustainable investmentSustainability
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Quali sono le notizie di gennaio sulla sostenibilità che più hanno interessato gli investitori?

In questa rassegna mensile, parliamo delle principali notizie delle ultime settimane riguardanti la sostenibilità provenienti dal mondo politico, societario e finanziario.

Obbligazioni: le strette monetarie del passato insegnano
fixed incomeAsset Management
fixed incomeAsset Managementfixed incomeInvestment strategiesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Obbligazioni: le strette monetarie del passato insegnano

La nostra analisi degli effetti che hanno sui rendimenti obbligazionari i cicli storici di inasprimento monetario attuati negli Stati Uniti fornisce spunti interessanti agli investitori che prediligono titoli di Stato e obbligazioni societarie.

The rotation continues with EM local-currency bonds
multi-assetAsset Management
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The rotation continues with EM local-currency bonds

In emerging markets, we believe the outperformance of local over hard-currency bonds represents another turn in the rotation to value.

Quali sono le principali implicazioni degli investimenti nei settori eolico e solare a livello aziendale?
sustainable investmentSustainability
sustainable investmentSustainabilityThemesAsset ManagementSustainable businessDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Quali sono le principali implicazioni degli investimenti nei settori eolico e solare a livello aziendale?

Gli investitori che desiderano avere un’esposizione alla transizione verso l’energia pulita guardano con crescente attenzione ai “pure play” dei settori eolico e solare.

CIO views: turning volatility's downside up
cross assetSustainability
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CIO views: turning volatility's downside up

Uncertainty and dispersion are defining 2022 markets thus far. Where can investors find opportunities when volatility is high and visibility is low?

Quali paesi possono rappresentare il futuro dell’energia eolica e solare?
sustainable investmentSustainability
sustainable investmentSustainabilityClimate changeAsset ManagementInvestment strategiesDCDBBanksThemesWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Quali paesi possono rappresentare il futuro dell’energia eolica e solare?

Quali paesi stanno attualmente supportando settori competitivi nel campo delle tecnologie pulite e quali hanno buone probabilità di farlo in futuro?

La qualità sarà il fattore decisivo nella battaglia tra titoli value e growth
equitiesAsset Management
equitiesAsset ManagementInvestment strategiesequitiesEuropean equitiesWholesaleDCDBBanksOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

La qualità sarà il fattore decisivo nella battaglia tra titoli value e growth

La natura dei titoli growth e value sta evolvendo rapidamente. Poiché stiamo entrando in una nuova fase del mercato, riteniamo che la qualità si rivelerà il fattore più importante.

How to stay diversified when volatility rises
multi-assetAsset Management
multi-assetAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersConsultantsOfficial institutionsmulti-assetmacroGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

How to stay diversified when volatility rises

A fast-paced, bearish rotation gripped markets this month. How could investors remain diversified while anticipating volatility?

4 aspetti da sfruttare per massimizzare il potenziale dei fallen angels
fixed incomeAsset Management
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4 aspetti da sfruttare per massimizzare il potenziale dei fallen angels

La componente sistematica della nostra strategia basata sul recupero dei fallen angels mira a sfruttare il valore relativo puntando su quattro aspetti fondamentali per evitare i potenziali falling knives. 

È tempo di investimenti massicci in fonti energetiche rinnovabili
sustainable investmentAsset Management
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È tempo di investimenti massicci in fonti energetiche rinnovabili

Una crisi energetica attanaglia l’Europa, che mostra un punto di flesso nella transizione energetica.

Asia outlook: 5 fixed-income themes for 2022
fixed incomeAsset Management
fixed incomeAsset Managementfixed incomeInvestment strategiesAsia value bondsDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Asia outlook: 5 fixed-income themes for 2022

Which five themes guide our views of risk and opportunity across Asia high-yield and investment-grade credit markets in 2022? 

Inflation is temporary but the rotation is not
multi-assetAsset Management
multi-assetAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersConsultantsOfficial institutionsmulti-assetmacroGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Inflation is temporary but the rotation is not

In this Simply put, we dive into current inflation rates and how they have affected the rotation so far. 

Fixed income in 2022: adaptability is imperative
fixed incomeAsset Management
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Fixed income in 2022: adaptability is imperative

As central banks respond to rising inflation, why is adaptability important for fixed-income investors in navigating the turbulence expected in 2022?

Blockchain e oltre: quali saranno i fattori trainanti del settore FinTech nel 2022?
equitiesAsset Management
equitiesAsset ManagementInvestment strategiesequitiesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsFinTechGeronne IndependantsInsuranceInstitutionalEndowmentsFund of fundsTechnologyMacro

Blockchain e oltre: quali saranno i fattori trainanti del settore FinTech nel 2022?

Quali opportunità potrebbe offrire il settore FinTech agli investitori nel 2022? Diamo uno sguardo alla nostra ultima prospettiva d’investimento.

Private credit assets: catalysts for climate impact
private assetsSustainability
private assetsSustainabilityAsset ManagementThemesDCDBBanksNet ZeroOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

Private credit assets: catalysts for climate impact

Here, we take a look at the significant opportunities available to advance the transition to net zero through private markets.

A demand shock is driving inflation, not supply bottlenecks
sustainable investmentAsset Management
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A demand shock is driving inflation, not supply bottlenecks

In the latest instalment of Simply Put, we consider which side of the supply / demand equation is behind higher inflation.

Exploiting yield-curve dynamics in hiking cycles
fixed incomeAsset Management
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Exploiting yield-curve dynamics in hiking cycles

Do higher interest rates always spell underperformance for US Treasuries? In the Q1 2022 issue of Alphorum, we analyse strategies for capturing upside across the yield curve. 

Attività sostenibili: “leve” aziendali in azione
fixed incomeSustainability
fixed incomeSustainabilityAsset ManagementInvestment strategiesfixed incomeThemesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Attività sostenibili: “leve” aziendali in azione

La sostenibilità sta diventando uno dei principali pilastri delle strategie aziendali. Ci aspettiamo che questo trend si rafforzi nel 2022 e presentiamo alcune storie interessanti di sostenibilità aziendale.

4 motivi per cui i mercati emergenti potrebbero salire nel 2022
equitiesAsset Management
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4 motivi per cui i mercati emergenti potrebbero salire nel 2022

Guardiamo insieme nella sfera di cristallo per scoprire quali saranno i principali temi d’investimento sui mercati emergenti nel 2022

Key drivers in emerging-market debt
fixed incomeAsset Management
fixed incomeAsset Managementfixed incomeInvestment strategiesEM local currency debtDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Key drivers in emerging-market debt

In the emerging market debt section of Alphorum, we consider inflation, growth, political risks and a supportive backdrop for new bond issuance in 2022.

Aude Dhuivonroux joins as Head of Wholesale Distribution
media releasesAsset Management
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Aude Dhuivonroux joins as Head of Wholesale Distribution in France

Lombard Odier Investment Managers today announces the appointment of Aude Dhuivonroux as Director of Wholesale Distribution for France, Belgium, Luxembourg and Monaco, as the firm continues its strategic growth plan to further increase market share in these markets. Aude joined the firm in early January.

Moving into 2022, we are constructive but vigilant on credit
fixed incomeAsset Management
fixed incomeAsset Managementfixed incomeInvestment strategiesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Moving into 2022, we are constructive but vigilant on credit

Are credit markets complacent in the face of rate hikes, China risk and geopoliticals? In the Q1 2022 issue of Alphorum, we assess the macro uncertainty surrounding strong fundamentals.

Webinar | Quali sono le prospettive per il reddito fisso asiatico?
fixed incomeAsset Management
fixed incomeAsset ManagementInvestment strategiesfixed incomeThemesAsia value bondsDCDBBanksEmerging marketsWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Webinar | Quali sono le prospettive per il reddito fisso asiatico?

Quale approccio adottare nei confronti dei mercati asiatici delle obbligazioni investment grade (IG) e high yield (HY) nel 2022?

Four multi-asset perspectives on inflation
multi-assetAsset Management
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Four multi-asset perspectives on inflation

In the Q1 2022 edition of Simply put, we approach inflation from four angles pertinent to multi-asset investment.

Regime shift in developed-market sovereign bonds
fixed incomeAsset Management
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Regime shift in developed-market sovereign bonds

In the global government and inflation-linked bond report of Alphorum, we address US tightening, Treasury yield-curve flattening and the prospects for higher real yelds.

Cogliere i fallen angels, evitare i falling knives
fixed incomeAsset Management
fixed incomeAsset Managementfixed incomeInvestment strategiesFallen AngelsDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Cogliere i fallen angels, evitare i falling knives

Gli investimenti nelle obbligazioni emesse da fallen angels possono generare rendimenti superiori, ma espongono anche a una serie di rischi che richiedono un approccio attivo all’analisi creditizia.

Lombard Odier Investment Managers launches Fallen Angels Recovery strategy
media releasesAsset Management
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Lombard Odier Investment Managers launches Fallen Angels Recovery strategy

Lombard Odier Investment Managers has expanded its fixed income franchise with the launch of Fallen Angels Recovery, a high conviction strategy that invests in companies that have fallen down the ratings spectrum, and yet display strong recovery prospects and an attractive valuation proposition.

How to harness machine learning for investment strategies?
multi-assetAsset Management
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How to harness machine learning for investment strategies

We summarise the findings of our award winning paper on machine learning-based methodologies for volatility targeting portfolios. 

Le tendenze di fondo degli investimenti da monitorare nel 2022
investment viewpointsAsset Management
investment viewpointsAsset ManagementInvestment strategiesequitiesDCDBBanksWholesaleOfficial institutionsThird party asset managersWorld BrandsConsultantsGolden AgeFinTechGeronne IndependantsGlobal HealthTechInsuranceInstitutionalEndowmentsFund of funds

Le tendenze di fondo degli investimenti da monitorare nel 2022

Quale sarà, nel 2022, il contributo al metaverso dei marchi dei beni di consumo e in che modo la digitalizzazione migliorerà le prestazioni dei servizi sanitari? Esaminiamo i principali megatrend del prossimo futuro.

Bubbles, inflation, negative breadth: which market myths matter for 2022?
investment viewpointsAsset Management
investment viewpointsAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersOfficial institutionsmulti-assetConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Bubbles, inflation, negative breadth: which market myths matter for 2022?

Is the Fed driving equities, and does the dominance of a few darling stocks foreshadow a correction? With 2022 close on the horizon, Simply put tests current market myths.

Words today, action tomorrow: the Fed fights inflation
global perspectivesAsset Management
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Words today, action tomorrow: the Fed fights inflation

US markets have shifted from an ‘inflation surprise’ to ‘monetary policy surprise’ regime. What form will the Fed's fight against inflation take, and what is the market response?

Chinese real estate: from idiosyncratic to systemic risk
global perspectivesAsset Management
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Chinese real estate: from idiosyncratic to systemic risk

The Chinese regulatory clampdown on the property market has transitioned into a systemic risk, but action from the Chinese central bank is cushioning this risk and should lead to a period of stabilisation.

3 reasons why we are positive on China tech stocks
investment viewpointsAsset Management
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3 reasons why we are positive on China tech stocks

In these tumultous times for Chinese tech companies, how can investors stay focused on the long-term growth potential and seize opportunities?

Come coniugare la neutralità climatica con il rispetto per la natura?
white papersSustainability
white papersSustainabilityNatural CapitalAsset ManagementInvestment strategiesequitiesDCDBBanksThemesCircular EconomyOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

Come coniugare la neutralità climatica con il rispetto per la natura?

Attenzione al lancio della prima edizione delle convinzioni CLIC™, una pubblicazione trimestrale che esplora la sostenibilità attraverso la lente del sistema proprietario di Lombard Odier: transizione verso un’economia CLIC (Circular, Lean, Inclusive and Clean (circolare, snella, inclusiva e pulita)). 

Beneath the surface, dispersion and uncertainty loom
global perspectivesAsset Management
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Beneath the surface, dispersion and uncertainty loom

Low levels of market volatility this year hide an unusually large dispersion across stocks and sectors and indicate a high level of market uncertainty.

Ricerca esclusiva di Lombard Odier e dell’Università di Oxford sulla competitività verde nell’economia globale
white papersSustainability
white papersSustainabilityThemesAsset ManagementNet ZeroInvestment strategiesequitiesfixed incomeDCDBBanksClimate bondsOfficial institutionsCOP26Planetary TransitionWholesaleThird party asset managersConsultantsInsuranceGeronne IndependantsInstitutionalFund of fundsEndowments

Ricerca esclusiva di Lombard Odier e dell’Università di Oxford sulla competitività verde nell’economia globale

Il mondo sta entrando in una fase sempre più incentrata sul vantaggio comparativo. Chi sono i probabili vincitori? Chi i perdenti in questa transizione?

Oil prices are down, but the economy shouldn’t slow down
global perspectivesAsset Management
global perspectivesAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersOfficial institutionsmulti-assetConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Oil prices are down, but the economy shouldn’t slow down

Falling oil prices do not necessarily signal a recession. The current decline stems from increased supply rather than excess demand, and could help ease inflation.

Cosa dicono dell’economia svizzera il franco e il settore immobiliare?
global perspectivesAsset Management
global perspectivesAsset Managementfixed incomeSwiss Franc bondsInvestment strategiesDCDBBanksWholesaleThird party asset managersOfficial institutionsmacroConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Cosa dicono dell’economia svizzera il franco e il settore immobiliare?

Quale direzione potrebbe imboccare l’economia svizzera e quanto sono importanti i canali dei cambi e del settore immobiliare in termini di policy?

CIO views outlook: top 3 investment picks in 2022
investment viewpointsSustainability
investment viewpointsSustainabilityAsset ManagementInvestment strategiesfixed incomeconvertiblesThemesequitiesalternativesDCDBBanksWholesalemulti-assetOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

CIO views outlook: top 3 investment picks in 2022

In this outlook, our CIOs outline where investors could find compelling opportunities across asset classes in 2022. 

2 reasons why recession fears are unjustified
global perspectivesAsset Management
global perspectivesAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersOfficial institutionsmulti-assetConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

2 reasons why recession fears are unjustified

Will hawkish monetary policies trigger a recession? Long-term interest rates and historical recession patterns tell us this fear is unfounded.

A stark new decade, two years in
investment viewpointsAsset Management
investment viewpointsAsset ManagementInvestment strategiesalternativesDCDBBanksWholesaleOfficial institutionsThird party asset managersConsultantsGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

A stark new decade, two years in

The pandemic ushered in a stark new decade of investment trends. Two years in, what might come next?

Growth addiction and tightening cycles: learning from the dot.com bubble
white papersAsset Management
white papersAsset ManagementInvestment strategiesequitiesEuropean equitiesWholesaleDCDBBanksThird party asset managersOfficial institutionsConsultantsmacroGeronne IndependantsInstitutionalInsuranceEndowmentsFund of fundsMacro

Growth addiction and tightening cycles: learning from the dot.com bubble

Equity market are currently characterised by a focus on growth companies that echoes the dot.com bubble. Investors need to be wary of tightening conditions. 

Mettere a frutto e preservare il capitale naturale in stile LOIM
investment viewpointsSustainability
investment viewpointsSustainabilityAsset ManagementNatural CapitalThemesequitiesDCDBBanksInvestment strategiesCircular EconomyOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

Mettere a frutto e preservare il capitale naturale in stile LOIM

La natura è la risorsa più produttiva al mondo, ma è sfruttata in misura eccessiva dall’attuale modello economico orientato agli sprechi, lasciondoci ciechi ai rischi e alle opportunità. E’ necessario agire. Guarda il video per scoprire di più … 

In piena evoluzione: il 1o anno del nostro fondo Natural Capital
investment viewpointsSustainability
investment viewpointsSustainabilityAsset ManagementNatural CapitalThemesequitiesDCDBBanksInvestment strategiesCircular EconomyOfficial institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

In piena evoluzione: il primo anno del nostro fondo Natural Capital

Unisciti a noi nel celebrare il primo anniversario della nostra strategia Natural Capital. Quali sono stati i principali progressi e quale sarà l’outlook di crescita? 

COP26: conclusioni in 7 punti per gli investitori
global perspectivesSustainability
global perspectivesSustainabilityAsset ManagementClimate changeDCDBBanksThemesCOP26Official institutionsWholesaleThird party asset managersConsultantsGeronne IndependantsInsuranceInstitutionalEndowmentsFund of funds

COP26: conclusioni in 7 punti per gli investitori

Quali sono i risultati della COP26 su cui gli investitori dovrebbero focalizzare l’attenzione? Evidenziamo alcuni aspetti fondamentali del Patto per il clima di Glasgow e degli impegni assunti separatamente su natura, carbone e finanziamento della transizione verso lo zero netto.

Why market fears of an abrupt end to the growth cycle are premature
global perspectivesAsset Management
global perspectivesAsset ManagementInvestment strategiesDCDBBanksAll RoadsWholesaleThird party asset managersConsultantsOfficial institutionsmulti-assetmacroGeronne IndependantsInstitutionalInsuranceEndowmentsFund of funds

Why market fears of an abrupt end to the growth cycle are premature

Declining long rates suggest markets expect the current growth cycle will end prematurely, but we believe it’s too early to fear a recession.

FinTech e l’avvento del BNPL
white papersAsset Management
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FinTech e l’avvento del BNPL

La pandemia ha impresso un’accelerazione a molti trend digitali, compreso il BNPL (buy now pay later (compra ora, paga dopo)).