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28 October 2019

Perception vs Facts

Investors are currently extremely cautious and very strongly favor the sovereign bond markets to the equity markets’ expense. Concerns over global economy, aggravated by the geopolitical tensions (US / China, Brexit, Iran, ...) explain the investors’ extremely cautious positioning. The policy uncertainty is now at unprecedented levels and can bias the analysis of the current situation.

 

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16 September 2019

Too early for pessimists

When breaking down current investor risk appetite in statistical factors and looking at these from a fundamental perspective, we do not support a negative view on the markets. We do believe the time for pessimism is yet to come!

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15 January 2018

Seeyond becomes an affiliate of Natixis Investment Managers

Seeyond was until now the quantitative investment division of Natixis Asset Management, itself an affiliate of Natixis Investment Managers. Seeyond aims to double its assets under management by 2021 and expands its global reach.

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17 February 2017

Active risk management: key success factor in 2017

After a 6-month phase of global investors’ perception switching from quality investing towards value and cyclical themes, the end of 2016 brought a calmer tone on both equity and fixed-income markets of developed countries - at least in the short term.

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16 February 2017

Style rotation reached pre-crisis levels

Interesting statistic on factor investing produced by the research department when looking at factor/sector rotation.

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