Portfolio Construction

Critical intelligence on asset allocation and implementation across asset classes

Frontier Markets Equity Fund: Focusing on value amid market volatility
  • 14 Apr 2026

Against a backdrop of heightened geopolitical volatility, the Allan Gray Frontier Markets Equity Fund delivered a resilient first‑quarter performance. With global uncertainty high, portfolio manage...

Q2 2026 Investment Outlook
  • 14 Apr 2026

A harder path to read

Liquidity under pressure: Fund strategy in a higher-rate environment
  • 14 Apr 2026

Private funds face tighter liquidity in a higher‑rate environment. Learn how managers use NAV facilities, hedging and conservative leverage to stay resilient.

Japan Investment Commentary and Market Outlook March 2026
  • 14 Apr 2026

Japanese equities declined sharply in March as heightened geopolitical tensions in the Middle East drove a renewed...

Portfolio Management Outlook: Staying Focused Amid Geopolitical Uncertainty
  • 14 Apr 2026

Attractive yields and defensive positioning offset heightened geopolitical and economic risks.

Macro-factors revisited: an evolving approach to portfolio resilience
  • 14 Apr 2026

Building upon IFM Investors’ earlier research on macro-factor exposures across public and private markets, with a particular focus on private infrastructure, this paper aims to improve the robustne...

Data centre securitisation: navigating a fast-growing asset class
  • 14 Apr 2026

The Weekly Brief
  • 13 Apr 2026

The Bank of England (BoE) is in a challenging position as the UK economy battles with still-sticky inflation and questions around the growth outlook. Last week’s data showed headline inflation acce...

Muzinich Weekly Market Comment: April
  • 13 Apr 2026

A fragile easing in geopolitical tensions has sparked a broad-based rebound across global markets, with risk assets rallying in line with strong seasonal tailwinds. However, rising inflation pressu...