Smart credit investing: harvesting factor premiums

Although most factor research focuses on the equity market, the concept and benefits of factor investing apply equally well to the corporate bond market. A smart way of investing is combining the factors into a multi-factor credit portfolio in order to diversify across factors. A multi-factor portfolio retains the high Sharpe ratio of the individual factors, but with smaller drawdowns and lower tracking error versus the market. Moreover, in a multi-asset portfolio, corporate bond factors also add value, beyond the equity factors. Read more about this white paper.

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Why Asian equities’ growth will outlast the AI-driven semiconductor cycle

Why Asian equities’ growth will outlast the AI-driven semiconductor cycle

In the latest episode of the Fiduciary Investors Series, Liao spoke with Top1000funds.com Asia Pacific correspondent Darcy Song on why the convergence of innovation, demographics and improving shareholder returns makes Asian equities an increasingly compelling diversification trade for asset owners navigating a geopolitically fractured world.

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Exchange Traded Funds: Maximizing the Opportunities for Institutional Investors

Around the world, exchange traded funds (ETFs) are becoming an increasingly important component of institutional investors’ portfolios. In this Vision Focus paper, we examine ETFs, including regional differences and changing regulations, as well the growing number of institutional uses for them. Click here to download the reportmrec4inarticleinline Sponsored Content scnative1 scnative2 scnative3

Sovereign Wealth Funds Assessing the Impact

Leveraging State Street’s position as a market practitioner, this Vision paper examines the lack of a universal definition for sovereign wealth funds, the debate regarding transparency, and the impact these large and fast-growing institutional investors are likely to have on the capital markets. Click here to download the reportmrec4inarticleinline Sponsored Content scnative1 scnative2 scnative3

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