The Enduring Lustre of Gold and Silver
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Ned Naylor-Leyland discusses why the outlook may be favourable for monetary metals and why it’s an interesting time for gold and silver miners.
Silver keeps its shine
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Ned Naylor-Leyland explains why silver spot prices remain strong.
Note from the Investment Floor – Can the US decarbonise its energy?
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Jon Wallace outlines some of the challenges ahead if the US is to meet its “borderline physically possible” clean energy targets.
No more waiting: it’s time for change
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In an article first published in ESG Clarity, Abbie Llewellyn-Waters assesses the state of progress on social policy and climate change.
Emerging Market Debt: Looking through the noise to deliver alpha?
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Being prepared for the unexpected is a huge part of EMD investing. Alejandro Arevalo attempts to make sense of market moves, and explains how he aims to deliver alpha.
ESG risks for credit investors: looking beyond the acronym
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Fully embedding ESG factors into a corporate bond investment philosophy means considering longer term risks to issuers that the market may currently be under-pricing – or even ignoring.
India’s second wave
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India’s second wave of Covid cases is a tragic situation that may take months to fully resolve, but there is light at the end of the tunnel.
Don’t Try to Predict Inflation, Prepare For It
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Investors should devote less time to making market predictions and more to thinking about a range of potential outcomes, says Brad Slingerlend of NZS.
Reflation, Interest Rates and Risk
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Ariel Bezalel, Talib Sheikh and Mark Nash discuss financial markets, rates, fiscal and monetary policy and where they see opportunities
Are CoCos the mispriced credit opportunity of 2021?
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Luca Evangelisti explains why Financials Contingent Capital bonds, or CoCos for short, offer value thanks to their strong liquidity profile, supportive regulators, and the much-improved financial position of banks.