Extended-lister
Showing 81 - 90 of 201 entries
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MSCI Blog
中国科技投资:一种股指编制方法经过数十年的快速经济增长,中国开始将发展重点从出口和固定资产投资转移到国内消费和技术创新。
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MSCI Blog
How Diversified Are US Equity Investors?The universe of stocks represented by the MSCI USA Index comprises over 600 securities. U.S. investors might assume there are ample opportunities for diversification and potential risk reduction in the domestic market. Is this assumption correct?
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MSCI Blog
Chinese Government Bonds: Higher Yield, Less Risk?Global investors’ interest in Chinese government bonds has risen, as these bonds offer higher yields than developed-market sovereign debt. For investors thinking about adding Chinese bonds to their portfolios, what could be the impact on portfolio risk?
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MSCI Blog
China A Shares: What Have We Learned?In this first of a series of blogs covering specific index-inclusion stories, we explore China A shares’ inclusion in the MSCI Emerging Markets Index by looking back at how it occurred and what’s happened since with market and investor reaction.
Emerging Markets Indexes China Indexes EN Indexes
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MSCI Blog
Aligning with the Paris Agreement: An Index ApproachInstitutional investors are under pressure to align their strategies with a maximum global temperature increase of 1.5oC as targeted by the Paris Agreement. We examine how they can approach this while respecting other investment constraints.
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MSCI Blog
Factors in Focus: Impact of Inflation on Style FactorsGlobal equities continued to rally in Q3, brushing aside fear of a second wave of COVID-19 and a large economic slump. We review what it meant from an equity and fixed-income factor perspective and look at what our models showed headed into Q4
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MSCI Blog
Assessing Company Alignment with UN SDGsFive years ago, the United Nations adopted 17 UN Sustainable Development Goals (SDGs) in an effort to end extreme poverty, reduce inequity and protect the planet by 2030. Using a new tool, we examine whether companies are walking the walk.
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MSCI Blog
ESG in Mexico: At a Fork in the Road?Mexican companies’ ESG risk-mitigation practices have come a long way over the past decade, but there has been some slippage over the past two years. We examine the current status and why investors may want to pay attention.
ESG Indexes ESG Products & Services Emerging Markets Indexes
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MSCI Blog
Alternative Views of Equity-Market Liquidity During COVID-19Institutional investors have typically used traded volume as a way to assess market liquidity. Adding alternative measures that gauge market impact and trading costs can provide a more comprehensive view for portfolio managers and traders.
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MSCI Blog
Hedging Inflation: A ScorecardAggressive actions by central banks and soaring government budget deficits have raised concerns among some investors that inflation may significantly rise. We examine whether an inflation hedge was worth the cost over the past 13 years.