While inflation is expected to rise after last year’s lows, it will likely be transitory. Sunil Krishnan explores what this means for the economy, yield curves and equity markets.
A robust multi-asset strategy depends on three factors: built-in ESG integration, strong portfolio construction and dynamic management
Green bonds are one of the more visible sides of the increasing interest in environmental, social and governance (ESG) impacts on investing. The events of 2020 appear to have only accelerated this trend.
There’s a transformation happening in financial markets and people’s mindsets, as we transition away from fossil fuels in favour of clean renewable energy sources, writes Thomas Stokes, Investment Director at Aviva Investors.
After the brutal sell-off in the first quarter of 2020, equity markets embarked on a rally which was to confound even the most optimistic expectations.
ESG considerations are integrated as part of our approach multi‐asset investing. Shane O’Brien, Senior Investment Director at Aviva Investors, explains how consistent engagement with a well‐known UK financial institution led to a positive commitment on climate change.
New EU regulation promoting responsible investment is coming to our shores and not before time, says Thomas Stokes, investment director at Aviva Investors.