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Natixis Investment Managers
Environmental, Social and Governance
Sustainability portfolios to 'outperform significantly' when rates fall: Mirova
“We created a portfolio based on how we see the world evolving over the next 10 years.”
April 13, 2023
Global Economy
Recession may be looming in second half of the year: Natixis
Inflation was also seen as the top market risk with 70% of strategists ranking inflation as the biggest market risk for 2H2022.
July 20, 2022
Global Markets
Brighter 2023 as China turns down heat on tech, property
“From now on, the very tight policies against property will be easing off.”
June 09, 2022
Investing strategies
Amid delays in reopening, investors risk getting complacent: Natixis
Natixis names complacency as the biggest risk facing investors, with a laissez-faire sentiment weighing heavily on experts' minds.
July 27, 2021
Global Markets
Road to recovery will be 'bumpy', but strategists unsure which way markets will go into end of 2020, says Natixis survey
Respondents are also optimistic on a Biden win, but there is concern on how any result will be received by the American public.
September 10, 2020
Investing strategies
Singapore investors hearing part of active vs passive debate: Natixis
SINGAPORE (Nov 29): Try making sense of this latest study of Singapore investors conducted by Natixis Investment Managers.
November 29, 2018
Investing strategies
Discretion should be better part of valour for investors as economic clouds darken: Natixis
SINGAPORE (July 3): The present global economy remains strong enough to support risk assets like stocks and the credit sectors of the bond market, says Natixis Investment Managers’ Midyear Update & Outlook.
July 03, 2018
Investing strategies
10 biggest investor risks to look out for in 2018: Natixis
SINGAPORE (Jan 17): Economic and investor risks still abound despite relatively optimistic outlooks for 2018, according to Esty Dwek Roditi of Natixis Investment Managers.
January 17, 2018
Global Markets
Global institutional investors brace for volatlity, asset bubbles in 2018: Natixis
SINGAPORE (Dec 7): As allocations to passive strategies register a decline for the third consecutive year, institutional investors are preparing for volatility, asset bubbles and fragile markets ahead in 2018.
December 07, 2017