What might year three of the global pandemic mean for markets? Our Portfolio Managers and Strategists delve into market dynamics, big risks, and opportunities.
Investment strategies for actively pursuing better outcomes– including tax-managed equity indexing, international and low volatility equities, ESG-driven strategies and alternatives – are offered from our high-conviction managers.
Mirova team members detail green bond basics, accelerating issuance, challenges, and their thoughtful methodology aimed to uncover only issues displaying integrity and ambition.
A global multi-affiliate platform of independent investment management, consulting, and implementation expertise serving a wide spectrum of investor needs.
Amid the failed diversification of disappointing returns from both stocks and bonds, there are some bright spots in institutional investing trends.
AlphaSimplex’s Katy Kaminski discusses crisis alpha, why trend-following strategies generated positive returns in 1H, and trends to watch in 2H 2022.
Learn how option strategies can help manage the volatility of equities and create a smoother ride.
Natixis ESG target date series combines a “through retirement” allocation glidepath with a focus on sustainable investing. May be suitable as QDIA.
Consequences of Russia's invasion of Ukraine are analyzed by portfolio managers, strategists, and government policy specialists.
Partnership built on an acute understanding of each institutional client’s needs, interests and values is our top priority. Only through deep collaboration are we able to align your goals with solutions right for you.
More than 20 independent, affiliated asset managers – offering over 200 high conviction strategies across asset classes, including alternatives and ESG-driven approaches – provide innovative solutions for institution’s evolving needs.
At every stage of the investment lifecycle, from discovery to implementation and ongoing reporting, highly-skilled members of the Natixis Institutional Services Group partner with you.