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Archived pieces remain available on the site. Please consider the publish date while reading these older pieces.
Wellington Euro High Yield Bond Fund: Seeking investment opportunities in out-of-favour areas of the market
Investment Director Susan Chacko discuss why the European high-yield market can be an interesting asset class for clients, and they outline the philosophy of the Wellington Euro High Yield Bond Fund.
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Video
2023-05-31
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Archived pieces remain available on the site. Please consider the publish date while reading these older pieces.
562608971
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Archived pieces remain available on the site. Please consider the publish date while reading these older pieces.
When public and private equity converge: An allocator’s guide
Multi-Asset Strategist Cara Lafond believes the time has come to recalibrate private equity portfolios to keep up with the evolution of the equity ecosystem. She offers a case for a more holistic view of public and private allocations, a fresh look at how allocators access growth, and the use of private and crossover strategies in innovative sectors.
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Article
2022-12-30
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Archived pieces remain available on the site. Please consider the publish date while reading these older pieces.
486463910
Archived info
Archived pieces remain available on the site. Please consider the publish date while reading these older pieces.
Changing “weather” patterns in alternatives and climate
Multi-Asset Strategist Adam Berger offers a forecast on the future of alternative and climate-related investing, with insights on manager selection, public/private allocations, climate-aware capital market assumptions, and a range of other topics.
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Article
2022-11-30
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Archived pieces remain available on the site. Please consider the publish date while reading these older pieces.
1160370731
Archived info
Archived pieces remain available on the site. Please consider the publish date while reading these older pieces.
Should China equity be a stand-alone allocation?
As China’s role on the world stage looms larger, should investors separate the country from the rest of their emerging markets (EM) equity allocation? Three of our multi-asset strategists provide their research-based take, along with some practical considerations.
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Quick Take
2022-05-31
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Archived pieces remain available on the site. Please consider the publish date while reading these older pieces.
486463910
Archived info
Archived pieces remain available on the site. Please consider the publish date while reading these older pieces.
Investing for the long term (in a short-term world)
With short-term behavior evident across the financial landscape, Multi-Asset Strategist Adam Berger explores the intuitive and quantifiable advantages of being more long term, and he offers seven habits that can help asset owners cultivate a long-term mindset.
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Article
2022-09-30
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Archived pieces remain available on the site. Please consider the publish date while reading these older pieces.
531024164
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Archived pieces remain available on the site. Please consider the publish date while reading these older pieces.
Chinese government bonds: How do they measure up in a multi-asset framework?
As China’s bond market continues to grow in size and liquidity, we consider the potential role the country’s government bonds can play in diversifying a broader sovereign portfolio, improving yields, and offsetting equity risk.
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Article
2022-08-31
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Archived pieces remain available on the site. Please consider the publish date while reading these older pieces.
1265027055
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Archived pieces remain available on the site. Please consider the publish date while reading these older pieces.
Split decision: Should investors separate China from EM equities?
Many investors are contemplating whether to separate China from the rest of their emerging market equity allocation. Members of our Investment Strategy Group argue that the key decision point is not China’s dominance of the emerging market index, but the extent to which a standalone China allocation can be viewed as similar to an EM ex-China allocation. In this paper, they evaluate the similarity of the two allocations using a variety of metrics, from correlations to factors to sector composition.
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Article
2022-07-31
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Archived pieces remain available on the site. Please consider the publish date while reading these older pieces.
1156691077
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Archived pieces remain available on the site. Please consider the publish date while reading these older pieces.
Why global insurers should take a closer look at REITs
Insurance Strategist Max Davies, Investment Director Will Lee, and Investment Specialist Ethan Sales look at the potential benefits of REITs for global insurers, plus why now may be an opportune time to consider this often unsung asset class.
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Article
2022-07-31
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Archived pieces remain available on the site. Please consider the publish date while reading these older pieces.