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As we enter the month of October, investors are faced with an obvious question: is the time right for new investments in the oncology sector? Pasquale Sansone, Senior Biotechnology Analyst, shares his analysis and convictions.
  • Fixed Income, Charudatta Shende

    Bond market opportunities: The Return of Slope

    The global rates landscape is entering a decisive new phase as the long-standing flatness of yield curves gives way to steepness that has not been seen since 2011. The term premium, the additional interest by bondholders investing in longer-dated bonds versus short-term bonds, is back after an absence of many years.
  • ESG, SRI

    Active Ownership: Persistence Pays

    If some elements of our annual 2024 Annual Engagement and Voting Review sound familiar, that’s no coincidence. To maximize our impact, we focus on long-term core topics. Engagement and voting are central to our investment process, extending beyond the important responsibility of the investments we already hold.
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  • Economic Outlook
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Charudatta Shende, Fixed Income, Credit, Economic Outlook

Navigating the Selective Strength of Credit Markets

Yields remain elevated across both U.S. and European markets, offering attractive carry for investors in both Investment Grade (IG) and High Yield (HY).
Research Paper, Bertrand Dardenne, Alternative Investments, Economic Outlook, Geopolitics

Unlock the Potential of Merger Arbitrage

Merger Arbitrage is a sophisticated investment strategy that capitalizes on the price difference between a target company's stock price in the market and the acquisition price during mergers and acquisitions.
Asset Allocation, Macro, Economic Outlook, Emile Gagna, Florence Pisani

Slowdown on the Horizon…

Despite rising geopolitical tensions, the global economy showed surprising resilience in early 2025, and inflation continued to normalise.
Research Paper, Bob Maes, Philippe Dehoux, Fixed Income, Economic Outlook, Portfolio Construction

Euro Swap Spreads : Unpacking Asset Classes

You want to talk about euro swap spreads versus US swap spreads? We watch that, too. But to be honest, that graph is one of the last things we look at when managing euro fixed income aggregate portfolios. So if you want to see it, you’ll have to read all the rest of this page first.
Research Paper, Pieter-Jan Inghelbrecht, Johann Mauchand, Steeve Brument, Alternative Investments, Portfolio Construction, Economic Outlook

Restoring Diversification

We have previously examined the equity/bond allocation and asked, ‘Is 40/30/30 the new 60/40?’ Well, yes, we think it is. Our work shows a long-term correlation between equities and fixed income that is frighteningly close to 1.0. This increased correlation fundamentally alters the effectiveness of traditional portfolio construction.
Olivier Clapt, Research Paper, Asset Allocation, Portfolio Construction, Economic Outlook

Capital Market Assumptions – Long-term return forecasts

Although navigating by the stars can seem brave and adventurous, we would not recommend it on financial markets. Better be equipped with a solid compass !
Sylvain De Bus, Philippe Dehoux, Fixed Income, Portfolio Construction, Economic Outlook

Bonds are Back…So Which Ones?

European yields have returned to more historical norms following the years in the low-yield wilderness, while the German fiscal situation is reaching an inflection point.

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