New whitepaper explores the opportunities and risks in sustainable multi asset investment strategies 12.01.23
Has market volatility caused investors to tolerate depreciation or withdraw from equities in 2022? 14.12.22
Assessing risk and correlation is key for investors 03.03.22 • Asset Class, Research, Whitepaper 3rd March 2022 – As Emerging Market Debt (EMD) continues… Read More
Can Real Assets continue helping investors diversify their portfolios? 09.02.22 • Asset Class, Research, Whitepaper February 2022 – Real Assets have always held an important… Read More
What is the Future of ESG Data? CAMRADATA’s latest whitepaper explores 28.01.22 • Asset Class, Research, Whitepaper 24 January 2022 – A rising tide of regulation is… Read More
As investors lean towards private financing we explore 26.01.22 • Asset Class, Research, Whitepaper 18 January 2022 – CAMRADATA’s new whitepaper on Private Markets… Read More
How can investors balance climate change goals with providing growth for retirement income? 14.12.21 • Asset Class, Research, Whitepaper December 2021 – With COP26 now over CAMRADATA’s latest whitepaper,… Read More
What place do Absolute Return Investment strategies have in the post-Covid paradigm? 07.12.21 • Asset Class, Research, Whitepaper 7 December 2021 – CAMRADATA has published a new whitepaper,… Read More
Has sustainable credit reached a tipping point and about to catch up with sustainable investing? 26.11.21 • Whitepaper November 2021 – As UK pension schemes are under increasing… Read More
What investment opportunities are there for insurers in a post Covid age? 15.11.21 • Uncategorised, Whitepaper New whitepaper from CAMRADATA explores… November 2021 – CAMRADATA’s latest… Read More
Will Emerging Markets start to offer investors decent returns after a decade of underperformance? 01.11.21 • Uncategorised, Whitepaper 28 October 2021 – Emerging economies were seen as one… Read More