News & Top Funds
Stay informed on the latest market trends and discover the top performing funds
The Alpha of Active Funds: Myth or Reality?
In-depth analysis of active vs passive fund performance, with a focus on the Global Growth Equities category and alpha generation.
Trump Boosts US Equities: Growth or Value?
Comparative analysis of US growth and value equities in the context of Trump's re-election in 2024, with possible scenarios.
Trump Rally 2024: Outperformance of Small and Mid-Cap Equities
Analysis of the outperformance of American SMEs following Donald Trump's victory in 2024 and the key factors driving this dynamic.
US Elections and Financial Markets: In-Depth Analysis of Trends Since 1988
Comprehensive study of the impact of US presidential elections on global financial markets, analyzing the performance of different asset classes.
Opportunity to Invest in Emerging Markets
Analysis of investment opportunities in emerging markets, particularly in China and India, in the context of Fed rate cuts.
Comparison of European and American Sovereign Bonds
Analysis of the divergence in economic dynamics between Europe and the United States and its impact on sovereign bonds.
Japanese equities outperform: what scenarios in a context of accommodative monetary policy?
Analysis of Japanese equities outperformance and possible scenarios depending on the Bank of Japan monetary policy direction.
The Brazilian Economy Facing Inflation
Analysis of the outlook for Brazilian equities between high interest rate policy and inflationary risk, in an uncertain economic context.
The US Debt Ceiling: An Imminent Problem
Analysis of the challenges surrounding the American debt ceiling and possible scenarios between a bipartisan agreement and default risk.
European value stocks: what scenarios in our economic context?
Analysis of the Value investment style in Europe facing inflation and disinflation scenarios, and their impact on performance.
The Consumer Sector, Driven by Luxury, Keeps Up the Pace
Analysis of the consumer sector driven by luxury and the reopening of China, with its outlook and potential scenarios.
Disinflation / Rising Rates: What Scenarios for Global High Yield Bonds?
Analysis of the outlook for high yield bonds in a context of disinflation and elevated rates, with optimistic and pessimistic scenarios.
What scenarios for the energy sector equities category?
Analysis of the energy sector outlook in a complex economic and geopolitical context, between the war in Ukraine and OPEC decisions.
Why the comeback of the Technology Sector Equity Funds category?
Analysis of the technology equity funds rebound in 2023 after the 2022 inflationary shock, driven by inflation stabilization and AI enthusiasm.
How to Diversify Against Banking Risk Within the Equities Asset Class?
Analysis of diversification between the financial sector and mining/precious metals in the face of banking crisis risk in equity markets.
French outperformance: the strengths of France equity funds
Analysis of France equity funds outperformance driven by the services, export-oriented, and energy sectors in an inflationary context.
Luxury, a Beautiful European Story to Follow!
Analysis of the European luxury sector and its outlook following China's reopening, with possible evolution scenarios.
"Disinflation"! What Scenarios for Corporate Bonds?
Analysis of the outlook for corporate bond funds in a context of disinflation and evolving monetary policy.
Natixis IM Launches Asset Studio with EnvestBoard
The Asset Studio platform by Natixis IM integrates EnvestBoard among its fintechs to offer a comprehensive asset monitoring solution for IFAs and private banks.
A record month for life insurance, creating new opportunities?
Analysis of the growth in unit-linked investments and the development of retirement savings plans in life insurance.
Wealth Management in the Covid-19 Era
Analysis of the impact of the health crisis on the digitalization of wealth management and the new expectations of investors.