Institutional Investor (May 27)
Current trends seem to indicate “that investment managers are increasingly prioritizing flexible, innovative product solutions – particularly in ETFs, private assets, and SMAs – as traditional offerings lose their dominance. Considering the current challenging macro environment – inflation, high interest rates, and geopolitical/trade conflicts – we will be keen to observe whether these shifts in investor product preferences endure or lose their gusto in the face of wideswept market challenges.”
Tags: ETFs, Flexible, Geopolitical, Inflation, Innovative, Interest rates, Investment managers, Macro environment, Market challenges, Prioritizing, Private assets, SMAs, Trade conflicts, Traditional offerings, Trends
Institutional Investors (August 15)
“As earnings season winds down, investors around the globe are left to consider how a shifting macro environment will impact different asset classes and geographies.” Fears of a continuing yuan devaluation “will factor into perceptions of nearly all the major data points that will emerge.”
Tags: Asset classes, Data points, Devaluation, Earnings, Geographies, Investors, Macro environment, Yuan
