Managing interest-rate risk in 2024 and beyond

Managing interest-rate risk in 2024 and beyond

In the current macroeconomic environment, where slowing growth and cooling inflation are conducive to monetary easing, we're finding opportunities to tactically embrace interest-rate risk. We explain why we believe geographical diversification and diligently selecting where that duration comes from will be particularly important this year and beyond.
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How retirement investments align with long-term environmental goals

How retirement investments align with long-term environmental goals

Climate-related risks and opportunities are increasingly important dimensions of long-term asset allocation. We explore how retirement plan administrators can begin thinking about these issues as stewards of their beneficiaries' capital.
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Today’s fixed-income landscape sets the stage for active management

Today’s fixed-income landscape sets the stage for active management

Bond markets have been especially volatile, as yields have risen and fallen sharply over the past year. We explore why active management is positioned to do well against this backdrop.
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