Talking Heads

BNP Paribas Asset Management
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Oct 25, 2021 • 14min

Market weekly – Unlocking the value in fixed income

At first glance, bond markets these days may look like deserts – there is little or no yield on offer with large patches appearing barren or even offering only negative yields. That is to ignore a plethora of opportunities, argues Jean-Paul Chevé, head of the Fixed Income Insurance Team within the Specialty Fixed Income Product Group. Hosted on Ausha. See ausha.co/privacy-policy for more information.
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Oct 18, 2021 • 15min

Market weekly – Confidence in storm-hit China should return

Investors with China exposure, or an appetite for it, face a raft of issues ranging from slower growth, which may or may not be condoned by Beijing, to toughened and expanded clampdowns on sectors. Add in persistent Sino-US tensions over geopolitics and a revitalised focus on greater common prosperity and this cocktail begs the question: How best to judge the outlook for China? Chi Lo, Senior Market Strategist APAC, puts the latest developments into context, voicing his confidence that sentiment towards the world’s second-largest economy will improve. Hosted on Ausha. See ausha.co/privacy-policy for more information.
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Oct 11, 2021 • 12min

Market weekly – Convertible bonds: multi-functional and flexible capital

Convertible bonds are hybrid instruments combining bond and equity characteristics. As a result, they offer some equity upside, but with bond-like protection on the downside. If we are at the start of a cycle of rising interest rates, the option investors in these nominal assets (bonds) hold to convert to real assets (equities) could prove invaluable. Hosted on Ausha. See ausha.co/privacy-policy for more information.
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Oct 4, 2021 • 13min

Market weekly – US stocks pause after winning streak

The S&P 500 stock index ended September down by 4.8%, its first monthly drop since January and the largest fall since March 2020. Vincent Nichols, investment specialist for US equities, reviews recent events and the outlook for US stocks.   Hosted on Ausha. See ausha.co/privacy-policy for more information.
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Sep 20, 2021 • 16min

Market weekly – Transforming tech: Innovation and regulation

At the centre of a pandemic-induced boom, stern regulation efforts and forays into new turf, the technology sector is making almost daily headlines and requires robust research to separate the possibilities from the pitfalls, argues Pamela Hegarty, lead portfolio manager with a focus on information technology and communication services.Hosted on Ausha. See ausha.co/privacy-policy for more information.
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Sep 13, 2021 • 14min

Market weekly – Private debt stands out amid the uncertainty

Uncertainty over the macroeconomic landscape and the outlook for monetary policy currently combine with an awareness among investors that by many measures, valuations in public markets are on the high side. David Bouchoucha, head of our private debt and real assets team, talks about the characteristics that make private debt an attractive alternative.  Hosted on Ausha. See ausha.co/privacy-policy for more information.
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Sep 6, 2021 • 12min

Market weekly – Pandemic leaves consumers smarter about their food

What will be the consequences of the Covid-19 pandemic for the food and agriculture sector? How is the transition towards more sustainable food production and consumption affected? Agne Rackauskaite, co-portfolio manager of Impax Asset Management’s sustainable food strategy, gives investors her view on the post-pandemic outlook. Hosted on Ausha. See ausha.co/privacy-policy for more information.
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Jul 19, 2021 • 12min

Market weekly - Focusing on the ‘S’ – What is in it for investors?

It is a win-win for companies to target the social aspects of doing business, next to environmental responsibility and proper governance, and it can be so for investors as well, argues senior portfolio manager Maria Luz Diaz Blanco.Hosted on Ausha. See ausha.co/privacy-policy for more information.
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Jul 12, 2021 • 17min

Market weekly – Fixed income: 2021 reflation trade, where art thou?

In mid-June, Fed Chair Jay Powell pulled the rug from beneath the reflation trade by suggesting current inflation pressures were perhaps not transitory after all. Fixed income markets promptly reversed course with 10-year US Treasury yields last week trading as low as 1.25% after ending the first quarter at 1.70%. In this week’s podcast, Olivier de Larouziere, chief investment officer fixed income, explains what remains of the 2021 reflation trade. Listen to the podcast with Olivier de Larouziere, chief investment officer fixed income Hosted on Ausha. See ausha.co/privacy-policy for more information.
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Jul 5, 2021 • 11min

Market Weekly: Infra debt: Investing in the backbone

While many parts of the economy had to shut down as the coronavirus pandemic raged, the lights stayed on, water flowed from taps and internet connections buzzed. The crisis has highlighted the importance of the underlying infrastructure and, as Karen Azoulay explains, it was a useful reminder of the solidity of infrastructure debt as an asset class. Listen to the podcast with Karen Azoulay, head of infrastructure debt.Hosted on Ausha. See ausha.co/privacy-policy for more information.

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