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Showing 1 - 10 of 154 entries

  1. BLOG

    Spotlight on the Markets: Are Supply Chains the New Grinch 

    Dec 3, 2021

    Global Investing

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    The holiday season may only exacerbate supply-chain challenges affecting the availability and prices of goods. In this inaugural edition of Spotlight on the Markets, we analyze performance and how investors are working to rise to the occasion.

  2. BLOG

    After Evergrande: Bond Liquidity of Chinese Property Developers 

    Nov 17, 2021

    Fixed Income , Risk Management , Global Investing

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    Evergrande, one of China’s largest and most indebted property developers, had a recent close brush with bankruptcy that generated considerable concern among global bond investors. In this time of distress, how has market liquidity responded?

  3. BLOG

    Focusing a Sustainability Lens on China’s Regulatory Changes 

    Oct 28, 2021

    Global Investing

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    Market fundamentals may not be significantly affected by new regulations in China. But, given the regulations’ focus on ESG-related issues, investors can use ESG data as they seek to identify risks and opportunities across industries and securities.

  4. BLOG

    How to Achieve Net Zero? Leaders Weigh In 

    Oct 18, 2021

    Global Investing

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    How can investors help accelerate the net-zero transition? This was the central question at MSCI’s 2021 Global Investing Conference. We present the core takeaways from the two-day event, which featured senior corporate and investment thought leaders.

  5. BLOG

    The Impact of China’s New Regulations: A Thematic Lens 

    Sep 15, 2021

    Global Investing

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    Regulatory changes in China have investors wondering how different industries could be affected. Evaluating the changes through a thematic lens can provide insight into the growth and crowding levels of megatrends, as industries react and evolve.

  6. BLOG

    How a Shift Toward Buybacks Affected Yield Strategies 

    Sep 3, 2021

    Global Investing , Factor Investing

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    For investors who use yield strategies to generate income, a steady stream of dividend payments is important. But with more companies using buybacks as a way to redistribute profits, investors may want to consider a more holistic view of income.

  7. BLOG

    A Sector-Balanced Approach to China A Mega-Cap Exposure 

    Aug 27, 2021

    Global Investing

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    For investors seeking exposure to the mega-cap segment of the China A market, a simple top-50 market-cap-weighted approach can lead to large sectoral biases. We explore how a balanced mega-cap approach may help.

  8. BLOG

    Fresh IPO Stocks and Indexes: In or Out? 

    Aug 3, 2021

    Global Investing

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    Depending on a number of factors, stocks may be added to indexes soon after a company’s IPO, which can affect asset managers who use the indexes to create and benchmark portfolios. We investigate the impact of IPO stocks on index performance.

  9. BLOG

    COVID-19’s Uneven Impact on Office Vacancy 

    Jul 26, 2021

    Real Estate Investing , Global Investing

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    What was the precise impact of the COVID-19 crisis on office properties? While the overall vacancy rate at the end of 2020 was lower than the previous cycle’s peak, the percentage of fully leased office buildings reached an all-time low.

  10. BLOG

    Hedging Inflation with Equities 

    Jul 16, 2021

    Global Investing , Factor Investing

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    Equities have traditionally been viewed as a hedge against inflation, based on the assumption that companies’ revenues adjust for inflation over time. But what has been the short-term impact on equity portfolios?

Showing 1 - 10 of 154 entries