In today’s markets, a more nuanced combination of core market exposures and skill-based active returns is needed.
Creating a fee-efficient multi-factor investment solution that balances risk exposures across fixed income sectors.
For a growing number of investors, the ability of their asset manager to engage with companies within their portfolio is a vital component of their overall responsible investing toolkit.
How new models of engagement between asset owners and managers are helping to address today’s complex investment challenges.
Creating more efficient portfolios by refining the active manager line-up and astute use of factor-based approaches.
Why growing sector and regional dispersions are providing the potential for active value managers to outperform.
Aligning investment portfolios with views on ESG issues without compromising effectiveness of factor exposures.
Why active engagement with companies is vital for guiding activities and behaviors that help promote sustainable results.
Case Study: How SSGA collaborated with an Australian superannuation fund to develop and manage an international core equity mandate through an ESG lens.