Amid significant market volatility, we explore how absolute return investing and diversification can enhance investor portfolios.
Insights
Our latest thinking on the themes shaping today’s investment landscape. Explore timely updates, quarterly features and in-depth analysis straight from our experts.
Innovation in reasoning models is driving a pivot in AI infrastructure demand.
Portfolio Manager Nick Sheridan explores dynamic changes in global investment trends, with a focus on small cap resilience and prospects.
During a recent site visit in Birmingham, UK, Portfolio Manager Tal Lomnitzer discovers a world of sustainable biomaterial-based packaging.
Assessing the potential impact of President Trump’s proposed 50% EU tariffs on European equity markets.
High income and less sensitivity to credit spread moves underpin the resilience of European AAA CLO performance amid broader market volatility.
A research visit provides valuable insight into LA's real estate markets.
Assessing the market reactions following the previous two U.S. credit rating downgrades to provide perspective on the May 16 downgrade by Moody’s.
What Moody’s U.S. credit rating downgrade could mean for the Treasury market, the Fed, and fixed income investors.
Assessing the potential impact of President Trump’s “most favored nation” drug pricing policy on biopharma companies.
Considering the potential implications of April’s inflation print for the bond market, the Fed, and fixed income investors.