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Your search found 994 Managers and 8913 Manager articles.

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  • Victory in the face of volatility
    White papers

    Victory in the face of volatility

    2025-05-15T14:07:00ZBy UBS Asset Management

    Roundtable with Thomas Roche-Toussaint and other industry experts on secondaries with Private Equity International

  • ESG Thema #20 - Blue Economy: Ready, Set, Sail!
    White papers

    ESG Thema #20 - Blue Economy: Ready, Set, Sail!

    2025-05-15T14:05:00ZBy Amundi

    It is hard to imagine that something covering 71% of the earth’s surface is often on the back burner of ESG materiality and management. However, this is the case when it comes to ocean protection. 

  • Annual Report 2024
    White papers

    Annual Report 2024

    2025-05-14T12:17:00ZBy Praemia REIM

    Praemia HEALTHCARE has published its annual report for the second year running. Intended for all stakeholders, the report presents the Company’s vision, its results and the diversity of expertise that is the key to its success. It aims to give a clear and transparent account of Praemia HEALTHCARE’s activities and value creation in an environment undergoing constant change.

  • Keynote Q&A: Moving to a more holistic future for energy
    White papers

    Keynote Q&A: Moving to a more holistic future for energy

    2025-05-13T14:50:00ZBy Nuveen (Infrastructure)

    In Infrastructure Investor’s May 2025 Energy Transition report, Joost Bergsma, global head of clean energy for Nuveen Infrastructure, discusses why investors are continuing to show interest in renewables, even as certain economies and technologies encounter turbulence and power price risk. GPs may be needed more than ever to steer investors through market volatility, but the sector remains robust, he explains.

  • New Playbook: Institutional investors reevaluate their asset investments
    White papers

    New Playbook: Institutional investors reevaluate their asset investments

    2025-05-13T14:42:00ZBy UBS Asset Management North America - Real Estate

    IREI article: How are US allocations to real estate shifting relative to other assets?

  • US market is a good proxy for global high yield
    White papers

    US market is a good proxy for global high yield

    2025-05-13T10:38:00ZBy Capital Group

    While a global approach provides advantages for many fixed income sectors, the benefits are less clear for high yield.

  • US and China: balancing the decoupling
    White papers

    US and China: balancing the decoupling

    2025-05-13T10:02:00ZBy Amundi

    “Impacts of the trade war are just about to unfold, and some are not erasable by whimsical policy changes. It is complacent to assume there will be no structural consequence.”

  • Why European Alternatives Now: The Case for European Alternative Real Estate Sectors in 2024-5
    White papers

    Why European Alternatives Now: The Case for European Alternative Real Estate Sectors in 2024-5

    2025-05-13T09:11:00ZBy Heitman [Real Estate - North America]

    Significant repricing, market dislocation and the prospect of lower debt rates should make for a strong vintage in 2024-25. Europe has undergone a faster and deeper correction, with values having fallen over 30%, compared to -25% in the US. Further, values appear close to bottoming out in defensive property types. The recovery in the listed market is another indication that sentiment towards property is improving. Typically, these signs are associated with the beginnings of a recovery cycle. Even as interest rates normalise, funding gaps will remain large and create attractive entry points to acquire operationally healthy real estate assets at sizeable discounts.

  • What to expect for the US Treasury market?
    White papers

    What to expect for the US Treasury market?

    2025-05-12T09:37:00ZBy Amundi

    Until very recently, the US dollar (and US capital markets) seemed to reign supreme. The dollar has increasingly dominated as the currency of global transactions. Swift payments denominated in dollars rose from just over 30% of the total in early 2010 to an all-time high of 50.2% in January 2025.

  • Cross Asset Investment Strategy - May 2025
    White papers

    Cross Asset Investment Strategy - May 2025

    2025-05-12T09:33:00ZBy Amundi

    President Trump’s tariff announcements have rattled the previously dominant US financial markets, putting pressure on Treasury yields amid fears of slower growth and rising inflation. Recently, the difference in yield that investors expect for holding Treasuries compared to swaps has increased significantly, signalling a perceived higher risk of holding Treasuries.

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