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COP16 : Final boarding call for Biodiversity

Biodiversity, Alix Chosson, Elouan Heurard
The 16th meeting of the Conference of the Parties to the United Nations Convention on Biological Diversity (CBD COP16) will be held in Cali, Colombia, from October 21th to November 1st.
  • US elections

    US elections : Hear it directly from the US

    In the run up to the November 2024 US elections, our special correspondent in the US, Lauren Goodwin, Chief Market Strategist at our parent company New York Life Investments, shares her analysis on the campaigns and how US investors are navigating the environment. Every two weeks. Make sure to visit our US Chronicles !
  • US elections, Nadège Dufossé

    How should we position portfolios ahead of the US elections ?

    Numerous statistics are being published on the performance of financial markets in the run-up to the US elections. US presidential elections do not occur often enough to generate statistically significant data, but we generally observe an increase in volatility from the summer preceding the election date, with range-bound markets. After the election, the uncertainty usually subsides, and the promises of the future new president may generate an end-of-year rally.
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Q&A, ESG, SRI, Kroum Sourov, Christopher Mey, Emerging Markets

Sustainable: an emerging market for emerging debt

Kroum Sourov and Christopher Mey, portfolio managers of the sustainable emerging market debt strategy, describe the significance this type of analysis can have for a bond portfolio. They explain Candriam’s investment process, with our emphasis on relative value and risk management. This approach is intended to allow the strategy to adapt the ever-changing markets over the course of an economic cycle.
Q&A, Bastien Dublanc, David Czupryna, Water, ESG, SRI

Investing in water: a no-brainer for the future

Bastien Dublanc and David Czupryna, managers of Candriam's water investment strategy, explain why they invest in this theme, how they select their stocks, and what differentiates Candriam from other investment managers in this area.
Q&A, Fixed Income, Credit, Nicolas Jullien

An alternative strategy with low correlation to credit markets

Discover how Candriam, with its low-correlation alternative strategy, is navigating the credit markets in these paradigm-shifting times. Nicolas Jullien, CFA, Head of High Yield & Credit Arbitrage and Thomas Joret, Senior Fund Manager, provide you with the essential information you need to understand this strategy.
Q&A, Emerging Markets, Christopher Mey

Emerging Debt: Exploring Opportunities

Christopher Mey, CFA, Head of Emerging Markets Debt at Candriam, elaborates on the signifi cance of this asset class within a bond portfolio. He discusses the importance of Candriam’s investment process, with its emphasis on relative value and risk management. This approach is intended to allow the strategy to adapt the everchanging markets over the course of an economic cycle.
Q&A, Future Mobility, Johan Van der Biest, Allan Foll, Equities

Cleaner, safer, smarter

More and more investors are turning to thematic strategies to increase their overall diversification. Johan Van Der Biest, Co-Head of Thematic Global Equity, and Allan Foll, Fund Manager, explain that thematic investment skills combined with solid financial analysis is a prerequisite for identifying high-tech companies with strong growth potential at reasonable prices.
Q&A, Fixed Income, Philippe Dehoux, Sylvain De Bus, Pierre Boyer

A diversified euro debt strategy to counter market volatility

Philippe Dehoux, Sylvain de Bus and Pierre Boyer explain how shortterm bonds are making the most of what the euro fi xed income market has to offer in the volatile environment ahead.
Q&A, Philippe Noyard, Patrick Zeenni, Nicolas Jullien, Fixed Income

A long/short credit with a long bias

We continue to discover interesting opportunities in the corporate bond universe. Philippe Noyard, Global Head of Fixed Income at Candriam, Patrick Zeenni, CFA, Head of Investment Grade & Credit Arbitrage, and Nicolas Jullien, CFA, Head of High Yield & Credit Arbitrage, explain how their approach aims to optimise the credit market’s potential with the objective of generating returns.

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