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The 2021 ESG roundtable: pandemic boosted ESG momentum
As China Evergrande has sunk deeper into a quagmire of debt, markets have been rattled by fears of potential contagion. But the property developer’s woes are better understood as a controlled explosion, rather than an unexpected disaster.
Making every dollar count in a fixed income portfolio
Fidelity’s top ranked fixed income portfolio managers Jeff Moore and Michael Plage dive into a lively discussion and provide valuable insights on how institutional investors can maximize portfolio yield without introducing materially more risk in their plans.
Asia - next top destination for investors driving sustainable change?
Asia has been among the top destinations for growth investors in recent decades. Now we believe it could become one of the top markets for investors driving sustainable change. With the right sort of research, engagement and understanding of local issues, sustainability-focused investors can work with Asian companies to improve their ESG credentials, thereby increasing their longer-term return potential.
The case for Tactical Fixed Income Portfolios
Institutional investors are known for being able to play the long game but sometimes something so fundamental changes in assumptions that a rethink may be in order. The impact of unprecedented quantitative easing undertaken by the world’s central banks is leading many investors to wonder what to do with their fixed income allocations amid an environment where long term return assumptions of 4-6 percent seem widely far-fetched.