Australian investors’ optimistic outlook reflects mild COVID-19 experience, according to 2021 Natixis Global Survey of Individual Investors 

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In post COVID markets, Australian investors are optimistic about maintaining above 13% returns from well-diversified investment portfolios, however they will need guidance from financial professionals to balance their desire for safety

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Loomis, Sayles & Company wins AU180m US asset-backed securitised mandate with Statewide Super

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Global asset manager, Natixis Investment Managers, has announced the that its affiliate, Loomis, Sayles & Company has been awarded an AU180m US asset-backed securities mandate by the AU10.8bn superannuation fund,

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Tim Ryan appointed as CEO of Natixis Investment Managers

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Natixis Investment Managers are pleased to share the news that Tim Ryan is appointed member of the Natixis senior management committee in charge of Asset & Wealth Management, and CEO of

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Professional fund selectors anticipate heightened risk in 2021 but are optimistic about market opportunities

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Natixis Investment Managers has published the results of its annual Global Survey of Fund Selectors, which found that, against the backdrop of continued market volatility and negative interest rates, professional

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The Myer Foundation invests in newly launched Mirova fund under ESG portfolio restructure

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Global asset manager, Natixis Investment Managers, has announced the launch into the Australian market of its award-winning sustainable investment equities strategy, the Global Sustainable Equity Fund (the Fund), managed by

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Global backdrop remains supportive amidst coronavirus outbreak

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Macroeconomic overview Recent macro data has been somewhat mixed – stronger than expected in the US, weaker in the Eurozone and disappointing in Japan. But, although disruptions from the coronavirus outbreak are

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Thematics AM, Natixis Investment Managers affiliate, on investing for safety

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Thematics Asset Management, an affiliate of Natixis Investment Managers, explores the growing concern of human safety during an age where climate change and natural disasters are becoming increasingly predominant whilst delving

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A moderate rebound in market activity but a challenging road ahead

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Macroeconomic overview Recent data points towards a moderate rebound in activity. Consumption has remained strong, the labour market is holding up at historical low unemployment levels, the housing market is starting

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Market complexity and shift to alternatives turns global insurers to outsourced portfolio management

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Global insurers are turning to alternatives to fill the void left by meager bond returns over the past decade of ultra-low interest rates, reveals Natixis Investment Managers’ global survey of

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U.S. Fed thoughts – 31 October, 2019

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David Lafferty, Chief Market Strategist at Natixis Investment Managers, shares his thoughts on the potential outcome of the October FOMC meeting:  90% chance the Fed will cut “Based on futures

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