Investment Strategies – Page 8

  • Asset Class Reports

    Emerging Market Debt: Corporate issues

    September 2013 (Magazine)

    How will emerging market corporate debt fare through the first real challenge since it became a genuinely mainstream asset class? Federico Carballo and Florence Duculot offer their prognosis

  • EDHEC-Risk Institute launches smart beta index platform
    Features

    Be smart with smart beta

    September 2013 (Magazine)

    Stefan Dunatov emphasises the importance of consistency between strategy, investment beliefs and implementation when exploiting techniques like smart beta

  • Interviews

    Bradesco AM: Taking local global

    September 2013 (Magazine)

    Surprisingly, for its size, Bradesco has spent most of its first 50 years as a resolutely local firm

  • Special Report

    ESG integration – no one size fits all

    September 2013 (Magazine)

    Nina Roehrbein surveys best practice among investment managers in ESG integration

  • Features

    Rating hybrids

    July 2013 (Magazine)

    Issuance of hybrid capital in Europe surged at the start of the year and is likely to remain elevated in the near term. Taron Wade discusses how such instruments are rated and why new issuers are getting involved

  • A high-yield lesson from history
    Features

    A high-yield lesson from history

    July 2013 (Magazine)

    Richard Ryan warns investors not to respond to apparently tight spreads in investment-grade bonds by simply stretching for the extra 260 basis points available from high yield

  • Asset Class Reports

    Structured Credit: Still to gather steam

    July 2013 (Magazine)

    Joseph Mariathasan finds investors ready to buy ABS, but the markets frozen by regulators still fearful of their role in the financial crisis

  • Asset Class Reports

    Structured Credit: A turning point for European commercial mortgage-backed securities

    July 2013 (Magazine)

    Commercial mortgage-backed securities (CMBS) have not experienced the same dramatic rally and tightening of spreads as that seen in the market for residential mortgage-backed securities (RMBS). One might expect that their relative cheapness would therefore make the case for investment.

  • Asset Class Reports

    Structured Credit: Signs of life return to CLOs

    July 2013 (Magazine)

    Jennifer Bollen finds a re-birth in Europe’s CLO market, offering better pricing and lower risk – but facing significant obstacles to achieving maturity

  • Interviews

    Beyond US sub-prime

    July 2013 (Magazine)

    If Philip Weingord, co-founder and CEO of Seer Capital Management, isn’t ‘Mr Structured Credit’, then co-founder and CIO Richard d’Albert would be just as good a candidate.

  • Asset Class Reports

    Structured Credit: Peripheral euro-zone ABS: a liquidity-driven rally

    July 2013 (Magazine)

    European asset-backed securities (ABS) markets may not be as attractively priced as they were immediately after the financial crisis, but they can still add useful diversification of credit risk and they may still even offer some value.

  • Special Report

    With pensions in its sights

    July 2013 (Magazine)

    Mark Nicholls asesses the UK’s Green Investment Bank plans to target the institutional investment community, and pension funds in particular

  • Features

    Is history quietly repeating itself?

    July 2013 (Magazine)

    With the system already as heavily leveraged as it was in 2007, markets are hanging on every word from Ben Bernanke. Dan James thinks this only adds to the feeling of déjà vu

  • Features

    If it looks like a duck

    July 2013 (Magazine)

    Hybrid corporate bonds are taking off as investors scramble for yield. But Martin Steward wonders if the hybdridity balance is shifting against investors

  • Asset Class Reports

    Structured Credit: Wrong to buy?

    July 2013 (Magazine)

    Europe’s key RMBS markets remain subdued. Lynn Strongin Dodds reports on whether the lack of activity is just about bank stresses – or a more fundamental economic malaise

  • Features

    The case for the investment book of record

    July 2013 (Magazine)

    It is essential for investment decisions to be based on accurate and complete information, but obtaining that in the form of an investment book of record is easier for some asset managers than others, according to John Mayr

  • Special Report

    Food for thought for animal welfare

    July 2013 (Magazine)

    The horse-meat scandal has alerted investors to the importance of animal welfare in the supply chain, finds Nina Röhrbein

  • Features

    Rock ‘n’ roll yield

    June 2013 (Magazine)

    Music publishing rights are a proven inflation-sensitive cash-flow asset, and Martin Steward finds that fast-changing music consumption habits are generating not threats, but opportunities

  • Asset Class Reports

    Credit: When the well goes dry

    June 2013 (Magazine)

    As market markers retreat, Joseph Mariathasan notes that bond portfolio managers are holding more cash, using more derivatives, focusing on primary issues – and preparing for liquidity to get even drier

  • Asset Class Reports

    Credit: Signs of exuberance

    June 2013 (Magazine)

    More high yield, more security, more hybrids. Joseph Mariathasan surveys the changing European credit markets and asks, are they changing for better or worse?