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Real Estate Dislocation Presents Opportunities, Risks
The property market correction of 2023-24 marks the fourth significant dislocation in this asset class since 1970. Each prior instance—the early 1970s, the oversupply of the 1980s/early 1990s and
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Shariah-compliant Private Market Investing
The number of Shariah-compliant private market solutions has boomed in recent years, supporting investors that seek to improve risk diversification and reduce regional concentration. This brief
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Rise of the Allocators: Multi-manager Strategies for Alternative Investing
Powerful forces have supported the growth and evolution of multi-manager models for ‘alternative’ investing over the past fifteen years.
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Manager Intelligence and Market Trends - November 2022
bfinance’s quarterly report in November 2022: read the team’s latest insights on institutional investor activity, risk appetite, market developments and asset manager performance across all major
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Global Asset Owner Survey: Traps and Transitions
A secular macroeconomic transition has created an unenviable series of choices—and potential traps— for pension funds, insurers, endowments, foundations, family offices and other ‘asset owners’
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Manager Intelligence and Market Trends - May 2022
bfinance’s quarterly report in May 2022: read the team’s latest insights on institutional investor activity, risk appetite, market developments and asset manager performance across all major
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Manager Intelligence and Market Trends - February 2022
bfinance’s quarterly report in February 2022: read the team’s latest insights on institutional investor activity, risk appetite, market developments and asset manager performance across all major
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Illiquid Investments for Impact: Five Key Takeaways
With a clear trend towards impact-oriented investment activity among bfinance’s global client base, the bfinance research team recently held an investor training seminar focusing on illiquid
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Insurer Investment Survey
The bfinance 2022 Insurer Investment Survey provides a detailed look at key changes in insurance firms’ investment portfolios, risk exposures and resourcing/implementation.
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Investment Management Fees: Capturing Price Evolution
The latest edition in bfinance’s biennial Investment Management Fees series. New analysis highlights areas where investors may be able to benefit from pricing trends, with ESG/Impact at the
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Wealth Manager Investment Survey
A new study, featuring data from 120 wealth managers around the globe, identifies significant changes in investment capabilities, ESG integration and strategy.
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Reaching for Returns in Real Estate Debt
Amid the seemingly never-ending ‘hunt for yield’, high return real estate debt strategies are attracting investors’ attention.
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Cashflow-generating Alternatives Change the Game at Korea’s POBA
Pension fund CIOs often enter their roles wanting to be agents of change, bringing new strategies and new perspectives to their institutions.
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Real Estate Upheaval Puts Manager Discipline in the Spotlight
The full effects of the pandemic on real estate markets are still unclear. Yet what is already evident is that the impact will not be evenly felt.
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Asset Owner Survey: Managing through Uncertainty
As the global pandemic unfolds, 368 investors representing $11 trillion in assets share their lessons learned, key portfolio changes and expectations for the year.
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Investors Eye REITs amid Uneven Rebound
The second quarter brought a spike of investor interest in REITs – quicker to crash than private real estate, due to the inevitable lag in illiquid asset write-downs, but with a history of strong
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The Rise of Listed Infrastructure and REITs
The past decade has seen dramatic growth in the listed infrastructure sector, as well as the emergence of hybrid strategies that combine listed infrastructure with REITs. This paper draws on the
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DNA of a Manager Search: Real Estate Debt
Today, investors in many illiquid asset classes are seeking subsectors and asset managers that can defy the overall yield compression of the last five years.
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Do Listed Infrastructure and REITs Work Better Together?
Amid the recent rise of Listed Infrastructure and REITs, one particularly notable change is the emergence of
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Real Asset Debt: Lessons from Manager Selection
With a wave of pension and insurance investors entering real estate debt or infrastructure debt for the first time, three “DNA of a Manager Search” case studies provide practical insights into an
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