Mirova’s Fixed Income Team examines the strengths and shortcomings of the principles that serve as an industry standard for structuring green bonds.
Chief Market Strategist David Lafferty looks at how investors can consider near-term growth prospects while remaining aware of potential risks.
Chief Market Strategist David Lafferty discusses the pros and cons of annual market predictions and outlooks.
A look at recent capital market performance across asset classes and a near-term market forecast.
A look at how the US-China trade war, Brexit, Germany’s slowdown, and Middle East tensions could affect markets and portfolios over the near term
A look at how investors can actively manage fixed income portfolios through uncertain market scenarios.
Chief Market Strategist David Lafferty discusses the potential portfolio implications of interest rate uncertainty and how investors can prepare.
Analysis of key asset allocation trends derived from in-depth analysis of institutional investment portfolios by Natixis Portfolio Clarity® consultants.
Perspectives on investing for a low carbon world and delivering competitive returns from a Mirova sustainable investments research analyst.
Amid low interest rates, slow growth, and deflation Portfolio Strategist Jack Janasiewicz diagnoses current market conditions and considers the road ahead.
Central banks are looking to more accommodative monetary policy in light of slowing growth and trade tensions – but can it galvanize markets?
Six midyear asset allocation trends derived from in-depth analysis of financial advisor moderate model portfolios submitted to Natixis Portfolio Clarity®.
Mirova’s fixed income specialists discuss how investors can find opportunities and encourage sustainability through green bonds.
A look at green bond opportunities that allow investors to pursue income and make an impact with their portfolios.
How US-China tensions and potentially lower interest rates could affect financial markets and investor portfolios over the near term.
The 2019 Natixis Global Survey of Individual Investors reveals that investors are conflicted about risk, returns and what they can expect from their investments.
With interest rates still below historic averages, the yield pickup on private debt strategies over traditional fixed income remains attractive.
Views on Fed rate moves, high yield opportunities, China risks, and the importance of being flexible by Loomis Sayles portfolio manager Elaine Stokes.
Investor motivations, perceptions, and knowledge gaps that may influence the state of California’s green bond market.