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Showing 21 - 30 of 568 entries

  1. BLOG

    Constructing Net-Zero Portfolios: Three Approaches 

    Sep 30, 2021

    ESG Research

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    While investors around the world are committing to bring the carbon footprints of their portfolios to net-zero by 2050, figuring out how to do so is not a simple matter. What alternatives do investors have?

  2. BLOG

    Industry Momentum Across Regions 

    Sep 27, 2021

    Factor Investing

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    We expand on our analysis of industry momentum to assess the persistence of a premium across different regions and the ability of a rules-based strategy to help investors as they seek to capture this premium.

  3. BLOG

    Real Estate’s Income Risk in the Wake of COVID-19 

    Sep 21, 2021

    Real Estate Investing

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    COVID-19 has weighed heavily on the financial positions of companies that hold leases for commercial real estate. Property investors can track the covenant quality of their tenants and translate it into a probability of default over the length of the lease.

  4. 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.

  5. BLOG

    从主题投资角度看中国新规的影响 

    Sep 15, 2021

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    中国最近的一系列监管变化让一些投资者对不同的行业反应和影响产生了疑问。

  6. BLOG

    Measuring the Temperature of Your Portfolio 

    Sep 14, 2021

    ESG Research

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    Institutional investors are setting targets to align their portfolios with a 1.5˚-2°C global warming scenario. But measuring and reporting portfolio temperature rise remain challenging. How can investors measure the temperature of their portfolios?

  7. BLOG

    Regulatory Risk Rises for South Korean Employers 

    Sep 14, 2021

    ESG Research

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    Are South Korean companies ready to deal with the country’s new workplace-safety law? Our research finds that many of those companies — often located in the machinery and metals and mining industries — are ill-prepared.

  8. 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.

  9. BLOG

    Benchmarking Pan-Regional Real Estate Funds 

    Sep 2, 2021

    Real Estate Investing

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    Real estate investors have increasingly sought pan-regional funds to diversify globally. But such funds’ exposures can be significantly different from the market at large. What’s an appropriate benchmark for these diversified fund investments?

  10. BLOG

    Regulatory Risk Rises for South Korean Employers 

    Sep 1, 2021

    ESG Research

    Learn More

    Are South Korean companies ready to deal with the country’s new workplace-safety law? Our research finds that many of those companies — often located in the machinery and metals and mining industries — are ill-prepared.

Showing 21 - 30 of 568 entries