There are 84 item(s) tagged with the keyword "J.P. Morgan Asset Management".
Displaying: 21 - 30 of 84
Why climate change investing isn’t just about decarbonisation.
Evaluating a company’s exposure to environmental, social and governance (ESG) risk is an investment essential. But accessing reliable and timely information can be a challenge, given corporate transparency is uneven, and consistent global regulatory standards are still a work in progress. Now, data science is helping to provide the information investors need.
A bad year for the economy, a better year for markets
The role of nuclear power in the energy transition
As energy prices and inflation decline across the eurozone, we explore the possibility that fixed income markets may be overestimating future rate hikes from the European Central Bank (ECB).
Central bank actions have created no shortage of headlines in 2022. Faced with inflation running at multi-decade highs, policymakers are caught between the proverbial rock and a hard place. Tighten policy aggressively and they risk triggering a deep recession, but do too little and they risk watching inflation expectations de-anchor as a result. The market’s angst about the prospect of tighter policy ahead has been clear for all to see.
With the midterm elections fast approaching, how might the power shift in Washington, and how should investors prepare? Global Market Strategists Hugh Gimber and Meera Pandit delve into the key issues and offer insights on how policy shifts could affect the economy and markets.
Explore how dividend paying stocks can help build portfolio resilience against the prospects of high inflation and recession.
Surging energy prices and faltering gas supply could trigger an economic shock for Europe. Learn more about the investment implications of the looming energy crisis.
Displaying: 21 - 30 of 84