Archive

Results: 375 Matches

Jun 30, 2021 Sustainability

Exploring the financial materiality of social factors

By: Michael Lewis

In this paper, we examine the social factors that pertain to companies and why this is attracting increasing attention among institutional investors.

International, ESG, Sustainability, Industry
Jun 24, 2021 Multi Asset

Liquid alternatives in multi-asset portfolios: Smoke and mirrors or a true paradigm shift?

By: Peter Warken, Marc Möhrle

Multi Asset
Jun 18, 2021 Commodities

CIO Commodity Commentary

By: Darwei Kung

Gold-price setback after hawkish Fed

Alternatives, Commodities, Global
Jun 04, 2021 Global

Investment Traffic Lights

In May most risk assets continued to rise, with some equity indices in Europe and the United States reaching new highs.

Alternatives, Equities, Multi Asset, Fixed Income, Global
Jun 03, 2021 ESG

Why ESG reporting requires scientific verification

By: Francesco Curto, Michael Lewis

A credible set of sustainability reporting standards need to be science-based, incorporate double materiality, and go beyond simply climate-related financial risks to broader sustainability issues such as inequality, human rights, water risk and biodiversity loss.

ESG, Sustainability
May 11, 2021 Inflation

DWS Long View | Inflation

By: Francesco Curto, Jason Chen, Martin Moryson, Dirk Schlüter

Within this report, we present the DWS long-term capital market assumptions as of the end of March 2021 for major asset classes.

Inflation, Macro, Multi Asset, Fixed Income, Equities
May 04, 2021 Global

Investment Traffic Lights

April was a pleasant month for most investors.

Alternatives, Equities, Multi Asset, Fixed Income, Global
Apr 07, 2021 Global

Investment Traffic Lights

The first quarter was propelled by rising growth expectations and bond yields, as well as by a rotation into cyclical stocks.

Alternatives, Equities, Multi Asset, Fixed Income, Global
Mar 29, 2021 Inflation

The return of inflation?

By: Martin Moryson

Is inflation back? Is its current rise permanent or just temporary? And what are the implications of reviving inflation for the capital markets?

Inflation, Macro, Demographics, Central banks, Interest
Mar 24, 2021 ESG

Making Sense of a Chaotic ESG Reporting Landscape

By: Francesco Curto, Michael Lewis

Traditional approach to corporate reporting and the drive towards sheer profit maximisation has led to environmental damage, human rights abuses and greater inequalities

ESG, Sustainability
Mar 08, 2021 ESG

The paths of responsible investing in China and Europe

By: Katherine Han, Sisi Liu, Michael Lewis

In this joint white paper, Harvest and DWS compare and contrast the drivers of responsible investing in China and Europe. We explore the pros and cons of the approaches adopted and provide our recommendations to support the market’s growth.

ESG, Multi Asset, Sustainability
Mar 03, 2021 Global

Investment Traffic Lights

Rising (real) yields spooked markets in February. The risk is not over, but we consider it transitory.

Alternatives, Equities, Multi Asset, Fixed Income, Global
Feb 19, 2021 Multi Asset

Forecasting ten year return and volatility for the CSI 300 index

By: Eric Legunn, CFA, Robert Bush, Jason Chen

A cautious and systematic assessment of potential returns over the next decade suggests that China A-Shares, may still offer similar return potential as U.S. Equities.

Multi Asset
Feb 12, 2021 Commodities

CIO Commodity Commentary

By: Darwei Kung

Less volatile markets ahead of Chinese New Year

Alternatives, Commodities, Global
Feb 03, 2021 Macro

Investment Traffic Lights

The U.S. elections, progress on vaccination, good quarterly figures and plenty of liquidity continue to drive the markets, which in some sub-segments are showing bubble symptoms.

Alternatives, Equities, Global, Fixed Income, Multi Asset
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