Extended-lister
Showing 5081 - 5090 of 10,000 entries
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MSCI Blog
Inflating Returns with Subscription Lines of CreditThe increased use of subscription lines of credit by general partners in some private-capital funds has lifted returns by squeezing the timeframe over which returns are calculated. We examine buyout, private-credit and real-estate funds to see where the greatest inflation lay.
MSCI Thematic Indexes MSCI ESG Indexes Real Assets
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MSCI Blog
China’s Role in Supply-Chain StrategiesAre parts of the global supply chain more reliant on China than other parts? We explore which industries and themes may be more dependent on China from a manufacturing-ecosystem and raw-resources perspective.
China Indexes EN MSCI Thematic Indexes
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Methodology
MSCI Japan 700 SRI Select IndexPDF
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Methodology
MSCI World ex Australia Custom ESG Leaders Index MethodologyPDF
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Methodology
MSCI Australia IMI Custom ESG Leaders Index MethodologyPDF
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Research Report
ESG and Climate Reporting with Derivatives
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MSCI Blog
Markets in Focus: Concentrating on DiversificationHigher equity and bond correlation combined with increased index concentration suggest now is a good time to revisit allocations across regional, country, sector, style and thematic exposures for adequate portfolio diversification.
MSCI Country and Regional Indexes Emerging Markets Indexes Developed Markets MSCI Sector Indexes
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Press Release
MSCI completes acquisition of FabricPDF
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MSCI Blog
Macro Scenarios in Focus: Adapting to the New NormalMarkets seem to be priced for a soft landing, in which inflation returns closer to target levels and recession is avoided. We also consider two potential downside-risk scenarios: a hard landing and a resurgence of inflation.
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Research Report
Investment Trends in Focus: Five Key Themes for 2024