Setting out our engagement agenda for the year ahead

For over two decades we’ve been proactively engaging with businesses to drive positive change. In this article we explore where we’re focusing our efforts on 2022.
In Credit Weekly Snapshot – January 2022

Our fixed income team provide their weekly snapshot of market events.
Investment team updates – Bullet points 21 January 2022

Latest news from around the investment desks.
COP26 and carbon markets: what are the implications for investors?

A functioning carbon market has always been a key focus of the COP climate conferences. We explore outcomes from COP26 and the implications for corporations and asset managers.
Investment team updates – Bullet points 7 January 2022

Latest news from around the investment desks.
ESG knowledge shared: January 2022

Keep up to date with responsible investing through our monthly roundup of highlights – articles we’re reading, podcasts we’re enjoying, useful videos and more.
In Credit Weekly Snapshot – December 2021

Our fixed income team provide their weekly snapshot of market events.
Changing monetary environment sets the backdrop for a year of change in 2022

2022 will be marked by a role-reversal in monetary policy: crisis support, stimulus and spending replaced by recovery, repair, reduced fiscal stimulus and a return towards “normal”.
Fixed income: from recovery to expansion

Gene Tannuzzo talks about an expectation that 2022 will see the market narrative transition to the traditional expansionary phase of the business cycle, and we round up the Macro/Government Bonds, Investment Grade and High Yield spheres
Global Sustainable Outcomes – News & Views Q3 2021

We look at the economic consequences of shutting down the world and then hitting the restart button; as well as the issue of increasing water scarcity around the globe and the social and economic costs of finding solutions to this.