Investment Insights

Investment Insights

By BNP Paribas Asset ManagementBusinessInvesting
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Investment Insights episodes

  • Talking heads – Full valuations make 2022 a challenging year
    The set-up for financial markets is more challenging in 2022, especially for core government bonds and fully valued equities, given the prospect of higher interest rates. In our new Talking heads podcast, Maya Bhandari gives her analysis of what this means for asset allocation.

    Hosted on Ausha. See ausha.co/privacy-policy for more information.

    12 min
  • Market weekly – Investors will need to ‘shoot the rapids’ in 2022
    Leaving behind a momentous year marked by new phases of the pandemic and by sputtering efforts to re-start the global economy, we look ahead to 2022. Can we overcome the effects of issues such as disrupted supply chains and shifts in consumer demand? How can investors navigate the ‘rapids’ that will characterise the next stages of the economic recovery?

    Hosted on Ausha. See ausha.co/privacy-policy for more information.

    12 min
  • Market weekly – A portfolio-level COP26 scorecard
    The recent UN climate change conference in Glasgow has if anything brought a broader focus on environmental issues and added to the growing awareness and momentum behind the need for positive change, argue Edward Lees and Ulrik Fugmann of the Environmental Strategies Group. Here they identify promising sectors and present their approach to sustainable investing.

    Hosted on Ausha. See ausha.co/privacy-policy for more information.

    22 min
  • Market weekly – Climate change: It is adapt or…
    The results of the recent COP26 climate change conference fall into the glass half full, glass half empty category. The onus now is on greater efforts to adapt to higher global temperatures as work on mitigating the temperature rise continues, says Alex Bernhardt, global head of sustainability research.

    Hosted on Ausha. See ausha.co/privacy-policy for more information.

    11 min
  • Market weekly – Diversified private markets: A source of illiquidity premiums
    Confronted with low, but rising rates and frothy equity valuations, large investors are having to look elsewhere for investments offering both attractive long-run returns and modest to low volatility. Julien Halfon, head of pensions and corporate solutions, discusses the appeal of investing in private markets and harvesting the illiquidity premium while incorporating ESG selection criteria.

    Hosted on Ausha. See ausha.co/privacy-policy for more information.

    13 min
  • Market weekly – Emerging markets set to surface from tough year
    It has been a challenging year for investors in emerging markets – equities have lagged their developed market counterparts, EM debt has delivered a mixed performance. Covid outbreaks have hampered the economic recovery, while questions have arisen over China’s role as the engine of growth for EM exporters.

    Hosted on Ausha. See ausha.co/privacy-policy for more information.

    18 min
  • Market weekly – The why and how of thematic investing
    Globalisation, regulation and deregulation, digitalisation and innovation are playing an important role in reshaping economies, sectors and industries and these megatrends are creating thematic investment opportunities for investors. Koye Somefun, head of multi-asset solutions, sets out the characteristics of this approach and discusses the criteria investors should look at.

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    13 min
  • Market weekly – Unlocking the value in fixed income
    At first glance, bond markets these days may look like deserts – there is little or no yield on offer with large patches appearing barren or even offering only negative yields. That is to ignore a plethora of opportunities, argues Jean-Paul Chevé, head of the Fixed Income Insurance Team within the Specialty Fixed Income Product Group.

    Hosted on Ausha. See ausha.co/privacy-policy for more information.

    14 min
  • Market weekly – Confidence in storm-hit China should return
    Investors with China exposure, or an appetite for it, face a raft of issues ranging from slower growth, which may or may not be condoned by Beijing, to toughened and expanded clampdowns on sectors. Add in persistent Sino-US tensions over geopolitics and a revitalised focus on greater common prosperity and this cocktail begs the question: How best to judge the outlook for China? Chi Lo, Senior Market Strategist APAC, puts the latest developments into context, voicing his confidence that sentiment towards the world’s second-largest economy will improve.

    Hosted on Ausha. See ausha.co/privacy-policy for more information.

    15 min

About Investment Insights

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Investment Insights is the podcast channel for BNP Paribas Asset Management and features in-depth commentary on the topics that really matter to investors.

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