Natixis Insights Natixis Investment Managers
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Better financial outcomes rely on insights you can trust.
Natixis Insights delivers a 360⁰ view of capital markets, macroeconomic trends, portfolio manager updates and big ideas from some of the world’s leading investment managers and market strategists.
Natixis Investment Managers’ multi-affiliate approach connects you to the independent thinking and focused expertise of more than 15 active managers. Ranked among the world’s largest asset managers*, we deliver a diverse range of solutions across asset classes, styles, and vehicles to meet investors’ evolving needs.
Subscribe now to access timely macro and market views, research, and portfolio analysis – all to help you make more informed investment decisions.
Learn more about Natixis Investment Managers at www.im.natixis.com
For additional information and important podcast disclosures for listeners outside the US, please consult www.im.natixis.com/intl/podcasts-and-other-media
*Cerulli Quantitative Update: Global Markets 2022 ranked Natixis Investment Managers as the 18th largest asset manager in the world based on assets under management as of December 31, 2021.
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AIs, market highs, yields rise
Macro discussion covers artificial intelligence, stock market highs, bond market volatility, and positioning in the Natixis model investment portfolios.
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Q1 2024 Update: Gateway Funds
Joe Ferrara, an Investment Strategist at Gateway Investment Advisers and Luke Palmer, Associate Investment Strategist at Natixis, review and discuss recent market trends, fund performance, and portfolio positioning.
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Q1 2024 Update: Loomis Sayles Global Allocation Fund
Gretchen Amidon, co-portfolio manager of the Loomis Sayles Global Allocation Fund, reviews and discusses recent market trends, fund performance, and portfolio positioning.
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Q1 2024 Update: Loomis Sayles Core Plus Bond Fund
Michael Gladchun, Associate Portfolio Manager for the Loomis Sayles Fixed Income Group, reviews and discusses recent market trends, fund performance, and portfolio positioning.
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Top 10 Reasons to Extend Duration Now
Portfolio consultants make the case for extending duration in fixed income portfolios based on the current market environment.
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Hawks, Hikes and High Bars
Portfolio manager Jack Janasiewicz and investment strategist Brian Hess discuss inflation, the Fed, earnings, and positioning in the Natixis model portfolios.