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The Big Shrink – How to navigate High Yield markets?

Charudatta Shende, Nicolas Jullien, Fixed Income, Research Paper
High yield markets are shrinking. Do you know that they have contracted by 25% over the past two years? The ICE BofA BB-B Global High Yield Index has lost $654 million in value. In the meanwhile, investor demand for credit and high yield has rebounded at the end of last year.
  • Asset Allocation, Macro, Equities, Fixed Income, Nicolas Forest, Nadège Dufossé, Emile Gagna

    Update on Middle East Tensions

    On April 13, Iran decided to strike Israel with 300 drones and missiles following an attack on its diplomatic compound in Syria. Regional escalation and oil price are at risk. This tail risk cannot be ignored. We are closely monitoring the unfolding situation.
  • ESG, SRI, David Czupryna, Circular Economy

    Beyond Fossil Fuels: Why Green Investments Are Still the Future

    After a challenging period for green investing, marked by rising interest rates, supply chain issues, and overcapacity, companies committed to building a sustainable world could remain an attractive long-term option for investors seeking both financial returns and positive impact.
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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.
Q&A, Philippe Dehoux, Sylvain De Bus, Pierre Boyer

Discover the potential of short-term bonds and a specific sustainable approach

Philippe Dehoux, Head of Global Bonds at Candriam and lead manager of our Sustainable Euro Short Term Fixed Income strategy, Sylvain de Bus, Deputy Head of Global Bonds and co-manager, and Pierre Boyer, Head of Money Markets & Short Term and co-manager, discuss how short-term bonds combined with ESG selection criteria can help make the most of the opportunities offered by the European bond market in today’s volatile environment.
Q&A, Geoffroy Goenen, Equities

A fundamental quality approach with risk-reduction techniques

Geoffroy Goenen, Head of Funda mental European Equity, and Pierre Longueville , Head of Derivatives, explain how their team takes a very dif ferent approach, investing in a portfolio of high quality stocks based on rigorous fundamental analysis and then applying two different techniques to minimise its volatility – and maximise its risk adjusted return.
Philippe Noyard, Q&A, ESG, SRI

Improve the ESG profile of your High-Yield investments

For the portfolio management team in charge of the Global High Yield strategy, made up of Philippe Noyard, Global Head of Credit, Nicolas Jullien, CFA, Head of High Yield & Credit Arbitrage and Thomas Joret, Senior High Yield Fund Manager, combining their 20 years’ expertise in High-Yield bond investment with ESG (Environmental, Social & Governance) analysis, represented by Vincent Compiègne, Deputy Global Head of ESG Investments & Research, has the potential to outperform signifi cantly over the long term.
Q&A, Johan Van Der Biest

Sci-fi becomes a reality

Johan Van Der Biest, Senior Fund Manager, and Felix Demaeght, CFA, Co-Fund Manager, explain the metaverse and how they identify companies associated with it.

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