Portfolio Manager Kathryn Kaminski on how trend-following strategies can help manage risk and diversification by going long and short on various assets.
With no obvious shocks on the horizon, Chief Market Strategist David Lafferty believes 2020 market performance hinges on pace of global growth.
Fueled by our curiosity, expertise, and global experience, Active Thinking® helps power innovative solutions that lead to smarter portfolios.
Portfolio Manager Amber Fairbanks discusses ESG integration, impact investing and Mirova’s global sustainable equity investment strategy.
Doubling of debt in the investment grade sector is a top risk that the co-manager of Loomis, Sayles & Company’s Core Plus Bond strategies is navigating late cycle.
At Natixis Investment Managers, we practice Active Thinking®. That means we leverage diverse opinions, deep data, and detailed analysis to deliver unconventional perspectives.
Specialized consultants work with investment professionals who seek a deeper level of insight to build smarter portfolios, using sophisticated analytic tools to identify and quantify sources of risk and return.
In-depth analysis of investor sentiment, macroeconomics, portfolio construction and key trends shaping the future of investing.