When it comes down to it, market strategists and economists within the Natixis Investment Managers family see an uncertain world, but not one without opportunity.
Macro headwinds and hints of a corporate profits recession leads Loomis Sayles to a cautious asset allocation stance tilted toward fixed income.
This paper examines how investors can take advantage of investment opportunities in the global energy transition, while managing risks to their portfolios.
As ESG gains momentum around the world, investors of all kinds are paying attention. Discover how ESG means business.
Explore an active research-driven approach to income investing with multi-asset credit strategies for exposure to diversified sources of income and attractive risk-adjusted return potential.