CT Net Zero Transition Buy and Maintain Credit Funds
An actively managed buy and maintain credit strategy with a formal commitment to net zero.
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Trustee Training Hub
A series of virtual webinars and short videos designed to help expand your investment knowledge.
LDI version 2.0 - where to next for LDI?
Following the gilt crisis last year, LDI strategies have evolved to reflect what investors now know to be the new normal.
The DC Future Book 2024 - Edition 10
We are proud to sponsor and present the tenth edition of The DC Future Book.
Investment strategies and solutions
With more than 650 investment professionals based in North America, Europe and Asia, we offer a broad range of actively managed investment strategies and solutions covering global, regional and domestic markets and asset classes.
Fixed Income
We offer fixed income solutions with various risk and return objectives that range from traditional asset classes to more specialist areas such as emerging market debt, securitised debt and social bonds.
Find out moreAlternatives
Investors are increasingly looking beyond traditional asset classes to a growing alternatives market that can offer the potential of strong, uncorrelated returns and diversification throughout the economic cycle.
Find out moreEquities
We offer a wide range of global, regional and country specific strategies, investing across the market cap spectrum and with various risk and return objectives.
Find out moreMulti-Asset
We offer clients an extensive range of multi-asset solutions designed to meet a broad range of investment objectives.
Find out moreResponsible investment
In a world where a genuine responsible investment partner is increasingly crucial, Columbia Threadneedle Investments can help investors move forward more confidently.
Find out moreLDI
LDI is a popular and core risk management tool for pension schemes and insurance companies. The market has evolved over the years with our capabilities remaining at the forefront of these developments.
Find out moreFixed Income
We offer fixed income solutions with various risk and return objectives that range from traditional asset classes to more specialist areas such as emerging market debt, securitised debt and social bonds.
Find out moreAlternatives
Investors are increasingly looking beyond traditional asset classes to a growing alternatives market that can offer the potential of strong, uncorrelated returns and diversification throughout the economic cycle.
Find out moreEquities
We offer a wide range of global, regional and country specific strategies, investing across the market cap spectrum and with various risk and return objectives.
Find out moreMulti-Asset
We offer clients an extensive range of multi-asset solutions designed to meet a broad range of investment objectives.
Find out moreResponsible investment
In a world where a genuine responsible investment partner is increasingly crucial, Columbia Threadneedle Investments can help investors move forward more confidently.
Find out moreGlobal investment solutions
Our range of solutions draw on the breadth of Columbia Threadneedle’s global capabilities and expertise with a laser focus on meeting client needs.
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2 December 2024
Multi-Asset
Multi Asset
Chief Economist, EMEA
The US under the new President: four good years or four bad?
The US under the new President: four good years or four bad?
It is no exaggeration to say that financial markets and governments across the world have greeted the clean sweep by Republicans in the US elections with some nervousness.
29 November 2024
Equity
Equity
Investment Content Manager
Market Monitor – 29 November 2024
Market Monitor – 29 November 2024
Global stock markets made steady progress this week despite the looming threat of a major dispute between the United States and some of its biggest trading partners.
28 November 2024
Global investment solutions
Global investment solutions, Global investment solutions - LDI
Managing Director, Head of UK Solutions Client Portfolio Management
Making sense of corporate bond spreads
Making sense of corporate bond spreads
Geopolitical considerations and fluctuating investment sentiment meant it was a period of relative valuation opportunities.