Retirement planning, liability matching, expense forecasting and the advisor's role as a client's chief financial officer.
Learn how embracing sustainable investments may generate value for investors over the long term.
Natixis Investment Managers' annual Global Portfolio Barometer offers insights into model portfolios and asset allocation decisions from across the world.
A global multi-affiliate platform of independent investment management, consulting, and implementation expertise serving a wide spectrum of investor needs.
With the return of market volatility, professional fund buyers reveal their top concerns–and how they plan to meet their goals despite them.
Investors may want to pay attention to companies committed to addressing water security challenges and sustainable economic development.
Traditional financial theory might suggest that low-volatility stocks are less rewarding than high-volatility stocks, but this may be misleading.
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.
Our global research initiative puts data at the center of more productive client conversations with unique insights on the attitudes and behaviors of individual investors, financial professionals and institutional decision makers around the world.