Tag: Risk Management

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Emerging Markets are Undergoing the Biggest Reshuffle in Two Decades

Emerging market debt expert Polina Kurdyavko, Managing Director, Head of...

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Is The ECB Hiking Cycle Coming to an End?

Our view: the peak in the ECB’s deposit rate is...

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Polina’s Perspective: Chinese ‘Involution’ or Things Hard Work Can’t Fix

Are you a workaholic? I grew up with both of...

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Are High Yield Bonds Really More Risky than Equities?

Over the last 25 years, global high yield bonds have...

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Jupiter Merlin Weekly: NATO Recovers its Purpose – But What Next?

This Jupiter Merlin Weekly discusses how NATO’s support for Ukraine...

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Vescore Global Market Outlook July 2023

Key takeaways Risk environment: This isn’t 2007/08 all over again...

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The Disintermediation of Lending

Private debt steps in, as banks step back The disintermediation...

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Hangin’ Tough: A Long-Term look at EM Fundamentals

As a whole, major emerging markets (EMs) have become more...

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Alpha & Outcomes

Sustainable investing faces an important moment of reckoning. With so...

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5 Key Questions and Answers About Inflation Hedging

Christian Østerbye Vejen, head of the global inflation team at...

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