

Talking Heads
BNP Paribas Asset Management
BNP Paribas Asset Management’s Talking Heads podcast offers in-depth insights on the topics that really matter to investors. Each week, our investment experts join Daniel Morris, Chief Market Strategist, to analyse the market through the lens of sustainability.
For more insights, visit Viewpoint: https://viewpoint.bnpparibas-am.com/
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For more insights, visit Viewpoint: https://viewpoint.bnpparibas-am.com/
Download the Viewpoint app: https://onelink.to/tpxq34
Follow us on LinkedIn: https://bnpp.lk/am
Hosted on Ausha. See ausha.co/privacy-policy for more information.
Episodes
Mentioned books

Jun 28, 2021 • 18min
Market weekly: Ecosystem restoration: Why should investors be interested?
Addressing ecosystem restoration is just as pressing as tackling CO2 emissions and can generate billions of dollars of investment opportunities, as Ulrik Fugmann and Edward Lees, co-heads of the Environmental Strategies Group, explain.Hosted on Ausha. See ausha.co/privacy-policy for more information.

Jun 21, 2021 • 11min
Market weekly: There is more to emerging market equities
Emerging market equities offer investors a wide range of diversification opportunities across economies with a solid post-pandemic growth profile that include, but also stretch beyond, China and the wider Asian region. Quang Nguyen, head of global emerging market equities, argues the case for a broad perspective and active portfolio management. Hosted on Ausha. See ausha.co/privacy-policy for more information.

Jun 14, 2021 • 12min
Market weekly – Corporate bonds: Resilience amid rising inflation
Thanks to central bank largesse, corporate bond markets weathered the depth of the Covid crisis well. Risks to credit markets today appear low with gradually improving fundamentals, neutral central bank policy and no major supply-demand imbalances. Hosted on Ausha. See ausha.co/privacy-policy for more information.

Jun 4, 2021 • 16min
Market weekly – Asia: A good place to change climate change
On account of the region’s strong economic growth, Asia has a considerable impact on climate change, but at the same time is, perhaps disproportionately, exposed to its effects. That makes engaging with companies and working with the authorities all the more important for investors such as BNP Paribas Asset Management. Paul Milon, Head of stewardship Asia Pacific, explains. Hosted on Ausha. See ausha.co/privacy-policy for more information.

May 31, 2021 • 14min
Market weekly – European equities: About to catch up
Fund flows to date have massively favoured US equities, but European equities now have considerable scope to catch up as the economic recovery broadens and investors reassess their valuations relative to their more expensive US counterparts. Peter Abbott, European equities portfolio manager, shares his views. Hosted on Ausha. See ausha.co/privacy-policy for more information.

May 24, 2021 • 23min
Market weekly – Biodiversity: Why nature loss matters
Climate change and pollution are among the factors reducing biodiversity. The result is considerable damage to society and the economy. Robert-Alexandre Poujade, ESG analyst at our Sustainability Centre, warns not to underestimate the consequences of biodiversity loss and underscores the role investors can play in the battle to contain and reverse current trends. Hosted on Ausha. See ausha.co/privacy-policy for more information.

May 17, 2021 • 21min
Market weekly – Risk-on to rock on in second half
The economic recovery should broaden into a synchronised global upturn in the course of the second half of this year, favouring risky assets including commodities, equities generally and notably emerging market equities. An equity correction should be seen as a buying opportunity, argues Christophe Moulin, Head of Multi Asset. Hosted on Ausha. See ausha.co/privacy-policy for more information.

May 10, 2021 • 23min
Market weekly – Recovery and structural shifts signal inflation ahead in the US
Inflation has been quiescent in developed economies in recent years. Today, the possibility that we may be on the brink of a secular shift away from the low-flation regime is a topic of intense debate among investors. Nowhere is this more so than in the US where the abundance of fiscal and monetary support is seen by some as irresponsible in creating risks of an inflationary shock. Cedric Scholtes, Head of Global Sovereign, Inflation and Rates, discusses the outlook. Hosted on Ausha. See ausha.co/privacy-policy for more information.

Apr 30, 2021 • 15min
Market weekly – Why invest in inclusive growth?
Being open to an inclusive growth approach goes hand in hand with a focus on long-term performance and contributes to a better climate for doing business and investment. As investment specialist Ramon Esteruelas and ESG research analyst Delphine Riou argue, it is also good for profitability and can help mitigate business risk. Hosted on Ausha. See ausha.co/privacy-policy for more information.

Apr 26, 2021 • 19min
Market weekly – Creation and disruption in healthcare
Long-term growth trends and innovation continue to create demand for healthcare at a rate that exceeds the pace of economic growth. Jon Stephenson, portfolio manager for healthcare stocks discusses the factors behind rising healthcare expenditure, the impact of the pandemic and the outlook for the sector. Hosted on Ausha. See ausha.co/privacy-policy for more information.


