US election: impact on markets and our positioning
As Trump claims victory, we summarise the market reaction, consider possible medium-term scenarios and outline our current positioning.
Could technology help bridge the cyber security skills gap?
Overcoming the challenge of an estimated shortfall of 4 million cyber security professionals.
COP16: What are our policy priorities?
Ahead of the global nature summit, we lay out our focus for engaging with policymakers
Podcast: Fixed income in focus - checking in on Euro credit
For the latest in our quarterly series of updates on the global fixed income market, LGIM’s Head of Euro Credit Marc Rovers gives us a detailed briefing on where the European debt market is, and where it may be heading.
Gold or gold miners?
The question comes down to the role within a portfolio - is the allocation there as a form of insurance, or to express a view on the future path of prices?
Q3 Active Fixed Income Outlook: Back to the 1970s?
Q3 Active Fixed Income Outlook: Back to the 1970s? Could the prospect of 1970s stagflation be gaining traction? And if so, what are the possible implications for fixed income investors?
Clean Water technologies: overcoming the challenge of a drier world
Technology offers a range of possible solutions to this growing threat. From desalination that can turn seawater into freshwater to AI-powered water management systems, innovative solutions are coming into focus.
L&G Thematic ETFs quarterly performance
The second quarter of 2024 was volatile for most thematic strategies. Technology and Communication Services were the best-performing sectors, while Materials, Energy and Industrials underperformed.
LGIM’s approach to responsible index investing: putting your objectives first
We are Legal & General Investment Management (LGIM), the asset management business of Legal & General Group. Our purpose is to create a better future through responsible investing.
60/40 isn’t dead – it just needs a rethink
Adding multi-faceted, flexible fixed income sectors into the bond portion of a multi-asset portfolio could boost diversification.
