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DEFI: Diversified Equity Factor Investing

In this webcast we will look at Diversified Equity Factor Investing (DEFI). We will examine the 4 key factors that drive long-term equity returns: Value, Quality, Momentum and Low Volatility and how we apply these factors to our research focused approach.
Recorded Jun 15 2016 44 mins
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Presented by
Etienne Vincent, Head of Global Quant Management, THEAM, BNP Paribas Group
Presentation preview: DEFI: Diversified Equity Factor Investing
  • Channel
  • Channel profile
  • AI: What it is and why it matters to emerging markets and China Jul 12 2018 2:30 pm UTC 30 mins
    David Choa, PM - Greater China Equities & Michelle Fan, CFA, Analyst - Global Emerging Markets
    We are pleased to invite you to our upcoming 30-minute webcast on artificial intelligence. This presentation is a collaboration between our global emerging market equities and Chinese equities teams and will discuss what AI is, its history, and how it’s transforming economies.

    During the presentation, our speakers will also discuss:
    • Implications of AI on emerging countries and China;
    • How AI affects all industries;
    • Specific risks to be aware of such as policy and security; and
    • The future development of AI.
  • Alternative Debt – Real Assets are here to stay May 17 2018 12:00 pm UTC 75 mins
    Pauline Fiastre, Senior PM, Infrastructure Debt & Philippe Deloffre, Head of Real Estate Debt at BNP Paribas Asset Management
    Real Asset financing is becoming increasingly popular. This is not surprising given the diversification benefits they bring and the sustainable, inflation-beating investment returns they can deliver.

    Tune in to this webcast to hear Pauline Fiastre, Senior Portfolio Manager, Infrastructure Debt and Philippe Deloffre, Head of Real Estate Debt at BNP Paribas Asset Management, talk about why Real Assets are an important component of an investment portfolio.

    IPE’s Brendan Maton, will be quizzing Pauline and Philippe on:

    - Size and scope of the real asset debt market
    - Current market environment across Europe
    - Why these illiquid alternatives can offer stable and predictable cash-flow
    - The risk profile of these asset classes
    - How ESG can be a defining factor in selecting quality assets
  • A road map for navigating protectionism - The elevator and the staircase Apr 25 2018 3:00 pm UTC 45 mins
    Guillermo Felices, Head of Research and Strategy, Daniel Morris, Senior Strategist, Chi Lo, Senior Economist
    We assess the risks of a full-blown global trade war and its implication for the global economy and markets. While we consider this to be a low probability event, we present a road map for navigating it.

    In this 45 minute webcast, Daniel Morris, Senior Strategist (Macro team), Guillermo Felices, Head of Research and Strategy (Multi-Asset team) and Chi Lo, Senior Economist – Greater China (Macro team), will present these distinct risk scenarios and discuss what investors can do to prepare for them.

    Join us for this live webcast where our speakers will cover:

    • Protectionism as a reversal of globalisation
    • Two scenarios for an escalation of protectionism to trade wars
    • How would an escalation to trade wars pan out?
    • Economic and market implications
    • Multi-asset strategy implications
  • EM fixed income: what does volatility mean for EM? Recorded: Apr 24 2018 6 mins
    L. Bryan Carter and JC Sambor, Head and Deputy Head of EM debt
    .
  • EM fixed income: how we approach local currency investing Recorded: Apr 24 2018 7 mins
    L. Bryan Carter and JC Sambor, Head and Deputy Head of EM debt
    .
  • EM fixed income: the fundamentals of currency Recorded: Apr 24 2018 14 mins
    L. Bryan Carter and JC Sambor, Head and Deputy Head of EM debt
    .
  • US Inflation – Here to Stay or Gone Tomorrow? Recorded: Mar 15 2018 31 mins
    Steven Friedman, Cedric Scholtes and Katie Herr
    Inflation is reemerging as a theme for investors. Is inflation coming back from the dead? How can fixed income investors prepare?

    During this webcast our speakers will cover:
    •Contributors to rising inflation
    •Our base case for US inflation in 2018/2019
    •Risks to the upside and downside
    •Implications for the US inflation-linked bond market
  • EM debt: Do fundamentals really merit investment into local currency bonds? Recorded: Mar 13 2018 30 mins
    L. Bryan Carter and JC Sambor, Head and Deputy Head of EM debt
    EM local currency bonds have performed strongly throughout 2017 into the start of 2018, and we remain positive for the rest of the year, as we are convinced there are some interesting EM FX alpha opportunities in these markets. Bryan Carter and JC Sambor, our head and deputy head of EM fixed income, will investigate current themes in emerging markets, discuss the different drivers and risk factors and arrive at an investment view regarding current market attractiveness.

    Join us for this live webcast where our speakers will cover:
    •Recent volatility in global markets
    •EM growth forecasts
    •Inflows into the EMs
    •Higher commodity prices
    •How undervalued EM FX are starting to strengthen against the US dollar
  • The road ahead for US Equities: What to expect this year Recorded: Jan 24 2018 30 mins
    Pam Woo and Steven Friedman
    We are pleased to invite you to our first webcast of 2018 on the outlook for the US Equity Market against the backdrop of an expected pickup in growth. Our US economist, Steve Friedman, will lead off the webcast with his outlook for the year ahead, including the impact of fiscal policy on growth, as well as monetary policy in the context of a significant leadership transition on the FOMC.

    Pam Woo, Head of US & Global Sector Equity, will then provide an analysis of the US Equity Market, including:
    •Our expectations and outlook for the coming year
    •US Tax Reform: winners & losers and what’s priced in
    •Key sector themes & risks
  • Sustaining Momentum? The US and European Macro Outlook for 2018 Recorded: Dec 7 2017 29 mins
    Steven Friedman and Richard Barwell
    We are pleased to invite you to a 30-minute economic and policy webcast discussion, featuring Steven Friedman and Richard Barwell, Senior Economists at BNP Paribas Asset Management.

    Steve and Richard will provide their economic and policy outlook for the US and Europe, including prospects for fiscal stimulus in the US and political developments in Europe.

    They will also cover key items for both economies, including whether the solid momentum observed over the second half of 2017 will carry over into 2018.
  • Is it too late to allocate to global emerging market equities? Recorded: Nov 9 2017 29 mins
    Rina Jha, CFA
    Even after a good run of performance in the current market cycle, we continue to see opportunities to capture returns from emerging market equities.

    Please join us for this 30-minute webcast, where Rina Jha, CFA, Senior Analyst for the Global Emerging Markets Equities team, will discuss the current GEM bull market and explain our thoughts on why we believe there’s still room to run.

    Our conversation will cover:

    • Fundamental catalysts that should help the EM bull market continue;
    • What potential pitfalls we see that could slow the market, including a hawkish Fed, a major “risk off” event or a slowdown in China; and
    • The balance of opportunities and risks that favor the continued growth of emerging market equities.
  • A Choice for Continuity: Jerome Powell Chosen to Lead the Federal Reserve Recorded: Nov 3 2017 15 mins
    Steven Friedman, Senior Economist
    During this 30-minute webcast, Steve Friedman will discuss the implications for monetary policy of the selection of Jerome Powell as new Chairman of the Board of Governors of the Federal Reserve System and, by extension, the Federal Open Market Committee. Steve will also touch on one of the more immediate challenges for a Powell-led Federal Reserve, namely, how the central bank should respond to fiscal policy, which looks set to turn more stimulative next year.
  • Do Currency Managers Beat the Benchmark? Recorded: Oct 19 2017 28 mins
    Momtchil Pojarliev, PhD, CFA
    Currencies represent a significant source of risk for institutional investors. And as these investors are evaluating the choices to address foreign currency exposure, they struggle with the questions of if and how currency managers can add value.

    Please join us for this 30-minute Currency webcast, where our Deputy Head of Currencies - Momtchil Pojarliev, PhD, CFA - will present evidence that currency investing may be a consistent source of return that is measurable using various performance metrics similar to those in the traditional asset classes.

    Momtchil will also discuss why active currency management is expected to add value.
  • Fixed Income Quarterly Outlook - Q4 2017 Recorded: Oct 5 2017 3 mins
    Dominick DeAlto, Chief Investment Officer, Fixed Income
    This video features our CIO of Fixed Income who provides a review of the third quarter and his outlook for the final quarter of the year.
  • Small Cap Investing in a Transforming World Recorded: Sep 28 2017 31 mins
    Pam Hegarty, CFA and Eric McLaughlin, CFA
    As innovation continues to alter society, investors should be looking to identify companies with new business models that will drive change. Whether the company is delivering a new product or service, or enhancing an existing one, the investment opportunity can be very real. We believe the best way to unlock this potential is to focus on disruptive innovators. Companies that enable or adopt innovative technologies and business models will produce superior long term growth and returns on invested capital. Investing in these stocks should benefit our clients over a long investment horizon.

    In our conversation with Portfolio Manager Pamela Hegarty, CFA, we will focus this theme within the U.S. Small Cap strategy as we look to capture long-term trends by investing in companies on the fore-front of tomorrow’s economy.
  • How will China’s leadership change impact its investment landscape? Recorded: Sep 21 2017 32 mins
    Chi Lo and Caroline Yu Maurer
    China is expected to announce a new Standing Committee of the Politburo, or the core leadership of the government, at the upcoming 19th National Congress of the Communist Party to be held between 18 and 24 October. How will this significant political event impact the economic and investment outlook in China? How is China’s economic recovery today different from past cycles?

    In this 30-minute webcast with Chi Lo (our Senior Economist on China), and Caroline Yu Maurer (our Head of Greater China Equities), we will discuss China’s outlook, including:

    1.Will reform and deleveraging policies continue after China’s leadership reshuffle;
    2.Why can’t Beijing move faster to cut the country’s debt?
    3.How are China’s efforts to cut excess capacity progressing?
    4.Where are we in terms of China’s property downturn?
    5.Is China’s banking sector heading in the wrong direction?
    6.Chinese A-shares in the MSCI: What’s the big deal?
    7.What could be the domestic and external risks?
  • What we don’t see in China’s debt risk Recorded: Jul 12 2017 30 mins
    Chi Lo
    The amount of China’s debt, which is predominately bank loans, is not as
    excessive as the news headlines have painted. In this 30-minute webcast with Chi Lo, our Senior Economist on China,
    we will discuss China’s debt reduction, including:
    - How China has started tackling its debt problem through practical
    means;
    - Would a policy to swiftly cut China’s debt-to GDP ratio be implausible;
    - Has deleveraging moved up China’s policy priority list;
    - What could help solve China’s problem of capital misallocation; and
    - Is China’s excess capacity making its debt risk worse?
  • The Green Bonds Revolution Recorded: Jun 28 2017 52 mins
    Felipe Gordillo
    The green bonds market has exploded in recent years from USD 20 billion in 2013 to more than 200 billion at the end of February this year - that’s 10 times growth in four years.*

    Green Bonds are bonds used to fund projects which benefit the environment or climate such as clean energy projects or developing brownfield sites.

    During this webcast our senior ESG analyst Felipe Gordillo will share his views on:

    • How the massive growth, improved liquidity and transparency in the green bonds market is making it easier for large investors to participate.
    • Why it’s still important to choose the correct issuers in this generally high quality market (around 80% are investment grade).
    • How Green bonds have shown reliably good performance for investors.
    • Our experience with investors in France (who have invested heavily in Green Bonds) and worldwide.
    • And finally how ‘emerging’ green bonds could boost future returns.
  • Fixed income quarterly outlook - Q3 2017 Recorded: Jun 20 2017 3 mins
    Dominick DeAlto, Head of Fixed Income
    Fixed income quarterly outlook - Q3 2017
  • Income & Stability: The Case for Senior Secured Loans Recorded: Jun 15 2017 26 mins
    Vanessa Ritter, CFA, Head of Global Loans
    We are pleased to invite you to a 30-minute webcast with Vanessa Ritter, Head of Global Loans. Vanessa will discuss why global loans are interesting now – especially in this rising rate environment.

    Additional topics to be discussed include:
    - What are the core attributes of senior secured corporate loans;
    - Thoughts on outperforming inflation;
    - Best practices for managing default risk exposure;
    - Why should investors consider senior corporate loans now; and
    - What are the benefits of this strategy for institutional investors?
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  • Title: DEFI: Diversified Equity Factor Investing
  • Live at: Jun 15 2016 9:00 am
  • Presented by: Etienne Vincent, Head of Global Quant Management, THEAM, BNP Paribas Group
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