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7th edition of GIIN survey identifies size of impact investment market

By: Jonathan Boyd | 17 May 2017

The seventh edition of the Annual Impact Investor Survey report, published by the Global Impact Investing Network (GIIN), suggests that the $114bn in impact investing assets being…

Brandes Institute looks to market timing: opportunities and risks

By: Jonathan Boyd | 15 May 2017

Analysis of market timing by Wim Antoons, head of Asset Management at Bank Nagelmackers, and member of the External Advisory Board Europe at Brandes Investment Partners, has…

28% active managers outperform benchmark in 2016 – Lyxor

By: Adrien Paredes-Vanheule | 12 May 2017

How to find the right blend between active and passive? Paris-headquartered Lyxor Asset Management has tried to answer the question by conducting its annual research on best and worst performing…

European distributors to reduce fund choice due to MiFID II

By: Gary Robinson | 10 May 2017

The European fund landscape is set to change forever, with a narrowing of investment choices and a lack of fresh launches in the future, set to reduce the options further, following the introduction of…

French infrastructure funds report €13.9bn AUM over 2016

By: Adrien Paredes-Vanheule | 09 May 2017

French asset management association AFG has released its first research on infrastructure funds managed in France. Some 14 asset managers managing infrastructure funds have been surveyed last…

Regulatory changes urged for property funds available to retail investors

By: Jonathan Boyd | 25 Apr 2017

An independent report commissioned by the Association of Real Estate Funds into the behaviour of open-ended property funds following the Brexit referendum has made recommendations for regulatory changes…

Tide turning for real assets

By: Vince Childers And Michael Penn | 24 Apr 2017

Research from Cohen & Steers suggests that the market environment for real assets is undergoing significant change, which may impact on the asset allocation decisions of investors. Vince…

Cerulli sees ‘mild’ hit to fund sales after Mifid II

By: Jonathan Boyd | 10 Apr 2017

Research by Cerulli Associates has found that a majority (54%) of cross-border managers believe that sales of funds will not be hit by Mifid II, although close…

Demographics highlight of first of four reports on China from Morningstar

By: Jonathan Boyd | 07 Apr 2017

Demographics in China are highlighted in the first of four reports into the country’s 10-year economic outlook being published by Morningstar, and which set out to provide…

Spiva scores show active Europe, UK equity funds continue to underperform

By: Jonathan Boyd | 03 Apr 2017

Latest data from the  S&P Indices Versus Active Funds (Spiva) scorecard show that a significant share of Europe and UK equity funds underperformed their benchmarks over the…

UK investors’ fears and aspirations

By: Ridhima Sharma | 27 Mar 2017

IW Capital’s report discovers the true impact of 2016’s triple threat of political shocks and their direct effect on the UK investor community. Over the past few…

Institutional investors embrace risk in pursuit of better returns and yield

By: Alicia Villegas | 14 Mar 2017

Faced with volatility, greater risks and still-low yields, institutional investors are raising their exposure to higher-risk assets in pursuit of better returns, according to an international survey…

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