There are 49 item(s) tagged with the keyword "Aviva Investors".
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Bond yields have reached their highest levels in a decade. Yet the question still needs to be asked. In a world with higher inflation and a higher “risk-free” rate, do newly issued corporate and government bonds offer decent value?
Multi-strategy portfolios have come a long way in embedding ESG into the investment process, but there are gaps to fill, as Jennie Byun explains.
The interlinked nature of multiple global events – known as the polycrisis – can create challenges and opportunities for investors.
What does the data say? Our monthly data-inspired series
Staying humble in a world of rising risk
Fiscal intervention is, again, a vital part of the government policy toolkit, supporting plans to boost domestic industries and fight climate change. But while well-intended, such measures will add to already elevated debt levels, with significant implications for investors, as Michael Grady explains.
Sunil Krishnan looks back at 2022, and outlines what multi-asset investors should look out for in 2023.
Navigating UK equities in 2023
Central banks will find it far harder to eradicate inflation than markets anticipate and will be in no hurry to ease off on rate hikes, argues Ian Pizer.
Despite experiencing a backlash in 2022, it’s worth remembering why integrating ESG is so vital to a robust investment process, explains Shane O’Brien.
Displaying: 11 - 20 of 49