Extended-lister
Showing 11 - 20 of 67 entries
-
MSCI Blog
Style Bets, Not Stock Picks, Drove Returns in 2022In 2022, unlike in the prior two years, stock selection took a backseat to style factors and industry bets as performance drivers. Top-performing funds gained from all three exposures, while bottom-performing funds lost on all counts.
-
MSCI Blog
Climate and ESG Indexes in Focus: Sectors Told the StoryWe review the drivers of performance for ESG and climate indexes over the first quarter of 2023, and investigate the explanatory power of the carbon-efficiency factor over time.
BarraOne ESG Indexes SRI ESG Screening (BISR) MSCI Sector Indexes GICS
-
MSCI Blog
Macro Scenarios: Soft, Hard or No Landing This Year?In the wake of the recent banking turmoil, a soft landing for the U.S. economy now seems less likely than at the beginning of the year. We considered four scenarios and performed a stress test on a hypothetical portfolio of global stocks and U.S. bonds.
-
MSCI Blog
How Sovereigns Have Changed the Green-Bond MarketGreen bonds’ issuance by governments has increased significantly and changed the green-bond universe and its indexes. Investors have had to adjust accordingly.
-
Research Report
How ESG Risk Management Can Impact Security RiskBarraOne Equity Risk Models ESG Ratings ESG Governance Metrics ESG Government Ratings
-
MSCI Blog
A New Era for the Bank of Japan?Haruhiko Kuroda is stepping down after a decade as governor of the Bank of Japan, and the soon-to-be-appointed Kazuo Ueda has the potential to shake things up. What could the new regime mean for investors?
BarraOne RiskMetrics RiskManager
-
MSCI Blog
Global Markets One Year After Russia’s Invasion of UkraineMarkets have partially recovered since Russia invaded Ukraine, but questions remain about inflation, economic growth and central banks’ actions. Understanding last year’s performance across asset classes, may help with investment decisions in 2023.
Global Intel ESG Climate Solutions All Country Indexes MSCI Sector Indexes Factor Indexes Equity Risk Models BarraOne RiskMetrics CreditManager
-
MSCI Blog
Four Scenarios for 2023: Navigating UncertaintyThe macroeconomic landscape for 2023 is shrouded in uncertainty following a tumultuous 2022. We consider four scenarios for growth, rates and inflation and gauge their potential impact on a portfolio of global equities and U.S. bonds.
BarraOne RiskMetrics RiskManager
-
Research Report
Value’s Lost Decade: Learning from Value Strategies’ Behavior over Two Contrasting Decades
-
Inflation, rising rates and the worst first half of the year for global equities since the 1970s. What options exist for investors positioning portfolios?