Portfolio Construction

Critical intelligence on asset allocation and implementation across asset classes

Trump Accounts — What Families Need to Know in 2026
  • 07 Jul 2026

As of March 2026, full guidance has not been released and details/implementation strategy may be subject to change.

Monthly Checkpoints
  • 07 Jul 2026

Checkpoints is a comprehensive monthly chartbook highlighting major top-of-mind themes that could shape financial markets in the near term. In addition to the broader macroeconomic discussion, Chec...

SBTi Corporate Net-Zero Standard 2.0: what the new rules mean for business
  • 07 Jul 2026

Understand the SBTi Corporate Net-Zero Standard 2.0 and its new requirements for science-based targets, net-zero implementation, governance, and reporting.

A new approach to investing in AAA-rated CLOs
  • 07 Jul 2026

Explore how CLO ETFs can help investors seek growth opportunities through active portfolio management, flexibility, diversification and the efficiency of the ETF structure.

2026 Mid-Year Outlook
  • 07 Jul 2026

This insight provides a comprehensive mid-year outlook for 2026 across multiple financial sectors including macroeconomics, equities, retail, funds, and various fixed income markets such as Agency...

Opportunistic credit in an evolving market: a portfolio complement
  • 07 Jul 2026

Opportunistic credit is gaining relevance amid higher rates, volatility, and tighter capital, providing flexible financing when traditional lenders pull back. For investors, it can complement portf...

Opportunistic credit in an evolving market: our approach
  • 07 Jul 2026

Manager selection drives opportunistic credit outcomes through differentiated sourcing, structuring, and active platform capabilities.

Bond Portfolio Optimization
  • 07 Jul 2026

This paper presents a comprehensive framework for bond portfolio optimization applied to investment universes composed of individual securities.

From pitch to portfolios: A shrinking margin of error
  • 07 Jul 2026

Like knockout football, today’s markets reward preparation and balance. With less margin for error, diversified portfolios help investors compete.