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By: Jason Chen, Dirk Schlüter
The narrowing gap between equity and bond risk premia
By: Björn Jesch
The economy of Europe's recent worst performer could catch up with the rest this year and support equities along the way.
Election outcome expected to reflect broader trends and changes
U.S. money market funds (MMFs) have experienced massive inflows since the end of 2022. At just above USD 6 trillion, they currently stand at an all-time high
Elections to the European Parliament are getting close. A quick overview on how they work and why it matters, even if the immediate market impact is likely to be limited.
By: David Bianco
Surging AI capex: Macro implications of its size and return on investment?
Debt brake is increasingly being called into question
By: Christian Scherrmann
Why the Fed will cut rates – sooner or maybe later.
By: Matthias Schuckardt, Marco Kleweken, Artur Stoll, Jason Chen
A simplified approach applied to a sample balance sheet of an average European Life-Insurer
A look at underlying inflation components shows a mixed picture. The U.S. Federal Reserve (Fed) is right to be patient.
By: Robert Bush
So, is it fair to say that ETFs are typically thought of as passive for good reason?
By: Jason Chen, James Kole
How the price and yield relationship is impacted for issuer callable bonds
Sustainable bonds have become an integral part of the global investment universe. In addition to the chance to diversify they might also offer investors the opportunity to outperform.
Lower inflation gives Europe’s monetary authorities room to cut
By: Michael Lewis, Steffen Kutscher, Otar Sarishvili, Dr. Yannik Bofinger, Annekathrin Mueller-Lohmann
Whitepaper #2: How nature affects the bottom line