How Columbia Threadneedle’s ‘data lake’ is enabling in-depth analysis of future carbon-reduction paths
Jim Cielinski looks at why this cycle might be different and at some key metrics for monitoring its development.
Impact investments will no longer be confined to minor portions of equity or private credit allocations, according to Tammie Tang
Jennifer James, Emerging Market Credit Portfolio Manager, explores how the People’s Bank of China’s digital currency has been several years in the making but has the potential to rapidly reshape the payments industry.
James Briggs and Anil Shenoy from Janus Henderson Investors share their thoughts on climate change risk management in Buy & Maintain defined benefit pension scheme investments
Find out what other investors expect for the economy, inflation and bond yields; what the implications are for investors; and areas of fixed income worth considering.
Addressing ESG risks has typically been easier in equities but there are many ways to do it in fixed income and LDI portfolios, writes Stephanie Baxter
Covid-19 has led to a collapse in real yields, creating a double-whammy for schemes of falling returns and increasing liabilities. James Macdonald asks if CoCo bonds can provide an opportunity for schemes in such an environment.
The global economy has rebounded from the lows reached in March and April but momentum has waned as rising cases of COVID-19 have forced some regions to once again restrict activity. Jim Cielinski, Global Head of Fixed Income at Janus Henderson Investors, discusses whether credit markets can remain immune to the economic fragility.