Published in February 2017
October 2018
- Natixis Investment Managers
VIDEO (34’43) – Vincent Chailley, CIO and portfolio Manager, H2O Asset Management
December 2018
2019 European annual outlook
December 2018
Experts call for directing private capital to land restoration
November 2018
Ossiam Research Publication
October 2018
Aligning economy with ecology
October 2018
- Mirova Natural Capital Limited
With its third-generation companies, the emerging world is not just changing, it is being reinvented.
October 2018
Growth and inflation within the world’s largest economies should remain near current levels
October 2018
Fixed income investors may be stymied by the current mix of interest rate projections and global macroeconomic news.
October 2018
Limited new supply drives rental growth
October 2018
An in-depth assessment of retirement in the world
September 2018
- Natixis Investment Managers
Ostrum AM is used his long standing expertise in managing fixed income products and developed his enhanced beta strategies which combines the advantages of the active management and the smart beta approach.
July 2018
VIDEO (3’15) – Philippe Zaouati, CEO of Mirova, Chair of Finance For Tomorrrow
September 2018
French insurers are bound by the Energy Transition Law to take ESG into account.
September 2018
European Research Monthly Update
August 2018
A bold alternative to ‘buy and hold’ for fixed income
July 2018
- Ostrum Asset Management + Loomis Sayles
Loomis Sayles’ quarterly macro and market commentary
July 2018
Innovate to meet the e-commerce challenge
June 2018
In fulfilment of the article 173 of the French energy transition law
June 2018
“Put-write” strategies have nearly kept pace with U.S. equities, but with fewer drawdowns
June 2018
- Gateway Investment Advisers, LLC
Ostrum AM focuses on stockpicking and avoids market “noise”.
June 2018
December 2017
- Ostrum Asset Management and Loomis Sayles
Mirova’s comment on the IPBES report on the state of land degradation around the world
April 2018
Renewable energy is one of the fastest growing segment within the infrastructure market
March 2018
Seeking Risk-Adjusted Excess Returns
April 2018
A good match for fixed income investors’ concerns
May 2018
- Natixis Investment Managers & AEW
How a combination of member profiling and applying a risk-first investment approach improves member outcomes.
January 2018
- Natixis Investment Managers
Multi-asset credit strategies aim to capture global credit risk premiums
April 2018
The high yield market can provide compelling investments within most stages of the economic cycle.
March 2018
The Blockchain is on the verge of revolutionising asset management
March 2018
VIDEO (3’19) – Gautier Quéru, Director of the Land Degradation Neutrality Fund Project at Mirova
March 2018
Mirova’s analysis of HLEG recommendations
February 2018
VIDEO (4’18) – Raphael Lance, Head of Renewable Energy Funds at Mirova
March 2018
Four key insights on Golden State residents and green bonds
March 2018
- Natixis Investment Managers
Three Ways Institutional Investors Are Preparing for the Fallout of a Market Shift
March 2018
- Natixis Investment Managers
Institutional Investors Warn of Volatility, Asset Bubbles and Fragile Markets
December 2017
- Natixis Investment Managers
NAM Newsletter
March 2018
Annual outlook of aircraft industry
March 2018
Loomis Sayles’ sector teams return scenarios and relative value recommendations for 2018
February 2018
AEW US Q4 2017 Real Estate Market Outlook
February 2018
Responsible Investment Research
January 2018
Natixis Investment Managers’ affiliates share their thoughts on what might be on the horizon for investors in 2018.
January 2018
- Natixis Investment Managers
AEW Research
December 2017
The carbon footprint of the major equity indices exceeds the +2°C objective of the Paris Climate Agreement (COP 21).
September 2017
August 2017
- Natixis Investment Managers
An in-depth assessment of retirement security in the developed word.
July 2017
- Natixis Investment Managers
Non-US investors could benefit from allocating to US municipal bonds
July 2017
- McDonnell Investment Management
In fulfilment of the article 173 of the French energy transition law
June 2017
Overlay and Minimum Variance, two strategies to hedge its equity portfolio against volatility
June 2017
How to incorporate SCR constraints into the portfolio allocation for insurer.
April 2017
Allocations to infrastructure assets are rising fast, so specialist skills are required to maintain outperformance and manage risk.
March 2017
How to get paid for scarce capital and liquidity
January 2017
French institutional investors are bound by the Energy transition law to take action.
May 2017
- Natixis Investment Managers
Rapid growth of green bonds shows that investors are seizing the opportunity to drive energy transition
January 2017
AEW Europe Q2 2017 Real Estate Market Outlook
July 2017
November 2016
- Natixis Investment Managers
Annual outlook of aircraft industry
May 2017
Comments on US withdraw from Paris climate agreement
June 2017
What does the outcome mean for global financial markets?
April 2017
- Natixis Investment Managers
Private debt can be a lower-risk, higher-yielding alternative to traditional bonds
September 2016
- Natixis Investment Managers
Institutional investors embrace risk in pursuit of better returns and yield, finds Natixis Global Asset Management Survey
March 2017
- Natixis Investment Managers
AEW Europe Q1 2017 Real Estate Market Outlook
April 2017
An alternative to conventional fixed income investments
April 2016
- Ostrum Asset Management & AEW Europe
Mirova discusses market standards and the lack of a regulatory body for Green Bonds
February 2017
Forces outside of Trump’s influence may continue to drive development of clean energy in the U.S.
February 2017
H2O Letter.
February 2017
Transforming non-core assets into prime property requires skill and resources
August 2016
November 2016
- Natixis Investment Managers
Our expert’s insights into the 4th December's Italian referendum and its impact on financial markets.
December 2016
- Natixis Investment Managers
Improved assessment of carbon impact could spur ESG investment and drive innovation
June 2016
As U.S. investors save for retirement, why advisors, employers, and policy makers should stand ready to help.
November 2016
- Natixis Investment Managers
Pension schemes face up to new challenge
October 2016
- Natixis Investment Managers
Managed futures may provide shelter from storms and diversified returns in calm markets
May 2016
Institutional investors are increasingly attracted by real asset private debt
September 2016
How can pension providers keep up in an evolving space?
August 2016
- Natixis Investment Managers
Including alternatives strategies in a portfolio can help to improve performance whilst reducing risk
April 2016
- Natixis Investment Managers
H2O Letter
September 2016
Post-referendum Q&A with AEW Research & Strategy
July 2016
Which implications for UK and global markets
June 2016
- Natixis Investment Managers
How passive is your active manager?
September 2016
- Vaughan Nelson Investment Management
A fixed income strategy combining active management and smart beta
February 2016
Capital market notes
July 2016
- Natixis Investment Managers
Vaughan Nelson insight
July 2016
- Natixis Investment Managers
Q&A with Dr. Andrew Lo
July 2016
Not all high Active Share managers are created equal.
February 2016
Mid-market private companies have the potential to expand rapidly while avoiding high exposure to volatile public markets
October 2015
4 key trends shaping the future of retirement security: access, incentives, engagement and economics.
September 2016
- Natixis Investment Managers
Institutional investors bullish on stocks, alternatives in 2016, wary of global political tensions, Natixis Survey Shows
February 2016
- Natixis Investment Managers
With the rise of artificial intelligence, nanotechnologies and genomics, we are at the dawn of a period of intense technological progress in life sciences.
March 2016
- Natixis Investment Managers
How investor behavior is rewriting the job description for financial professionals
July 2016
- Natixis Investment Managers
companies grapple with new regulatory constraints, capital rules and increased risks
December 2015
- Natixis Investment Managers
Seeking to respond to rapid shifts in markets while reducing risk.
February 2016
- Natixis Investment Managers
Institutional investors bullish on stocks, alternatives in 2016, wary of global political tensions
December 2015
- Natixis Investment Managers
NAM Fixed Income Ideas
April 2016
Neither active, nor passive, Factor Investing equity strategy is an alternative to conventional stock-picking strategies.
September 2016
Mirova’s insights on COP21’s conclusions
December 2015
Investing for a low carbon economy
November 2015
New regulations raise the bar for liquidity management
March 2015
An in-depth assessment of welfare in retirement around the world
January 2015
- Natixis Investment Managers