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MSCI helps managers navigate the unparalleled transformation the financial industry is facing today through our world-class research in Multiple Asset Classes, Factors and ESG Investing.

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Our value in action

Case Study

Innovative product creation enables long-term business goals

May 14, 2019
Case Study

Helping companies activate their corporate social responsibility policies

May 10, 2019
Case Study

Innovation delivers product differentiation

May 10, 2019
Case Study

Innovative product creation drives client acquisition

May 10, 2019
Case Study

Innovative product creation enables long-term business goals

May 14, 2019
Case Study

Helping companies activate their corporate social responsibility policies

May 10, 2019
Case Study

Innovation delivers product differentiation

May 10, 2019
Case Study

Innovative product creation drives client acquisition

May 10, 2019

Asset Managers - Our Solutions

Solutions for Asset Managers

Factor Investing

Factors can turn data points into actionable insights.

ESG Investing

Consider environmental, social and governance in the investment process.

MSCI FaCS

A common language for Factor Investing.

Asset Managers - Research

Research for Asset Managers

MSCI’s research organization is multi-disciplinary team made up of over 200 professionals globally specializing in ESG, Factor, Fixed Income, Global Equities, and Multi-Asset Class investing.

A road map for resilient carbon-transition portfolios

Is your portfolio ready for the transition to a low-carbon economy?

The MSCI Multi-Asset Class Factor Model

Factor investing is now going multi-asset class.

China and the future of equity allocations

What does the partial inclusion of China A shares in MSCI indexes mean for global and emerging market equity portfolios?

A road map for resilient carbon-transition portfolios

Is your portfolio ready for the transition to a low-carbon economy?

The MSCI Multi-Asset Class Factor Model

Factor investing is now going multi-asset class.

China and the future of equity allocations

What does the partial inclusion of China A shares in MSCI indexes mean for global and emerging market equity portfolios?

Related blogs

Related blogs


Uber vs. Lyft: Who’s at the wheel?

Uber vs. Lyft: Who’s at the wheel?

Blog Post: Ride-sharing companies Lyft and Uber have similar business models but very different ownership structures. Why does this matter?

Using alternative data to spot ESG risks

Using alternative data to spot ESG risks

Blog post: The amount of ESG information disclosed by corporations is on the rise. However, investors still often lack a full understanding of potential financially relevant ESG risks. How can they gain a better sense of where their investments are most vulnerable to ESG-related disasters?

Asset Managers Product Lines

Index

MSCI indexes are built on our Modern Index Strategy, which provides consistent treatment across all markets and ensures best practices in investability and replicability, avoiding benchmark misfit and uncompensated risks.

Analytics

Our Analytics offers a full view of risk and return with content and tools to help understand market, credit, liquidity and counterparty risk across all major asset classes, spanning all time horizons.

ESG

MSCI ESG Research measures and models environmental, social and governance (ESG) risk to provide critical insights that can help investment managers understand how ESG can impact the long-term risk and return profile of their investments.

Real estate investing

Real Estate research and business intelligence provide tools and insights to institutional investors and real estate owners, managers, brokers and occupiers worldwide on public and private real estate assets.

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