Equity Manager Report

2022 年第一季度股票管理人报告:
通胀高企是管理人面临的关键风险

2022 年第一季度的业绩总结,
以及管理人对通胀和中国增速放缓的预期。

Read the latest report
往期股票管理人报告

Q4 2021 UPDATE

2021年第四季度股票管理人报告:
年末全球基金资产中ESG基金占比升至10%

021年是环境、社会与治理(ESG)问题成为投资者首要关注焦点的一年吗?




Q4 2021 Findings

Q3 2021 update

2021年第三季度股票管理人报告:通胀担忧如何影响管理人的观点?

对通胀与日俱增的担忧是否让管理人做好了迎接未来几个月内波动性加大的准备?




Q3 2021 Findings

首席战术观察 – 季度股票管理人报告

罗素投资凭借与全球广泛管理人的紧密关系,能够以独特的视角获取众多专家的市场洞见。这份报告汇集了我们对于全球关键地区和股票市场的首席战术观察。

Featured Author

Gabriel Sauma
HEAD OF RESEARCH, EMERGING MARKET EQUITIES

更多市场洞见

Q2 2021 Fixed Income Survey banner image

Fixed Income Survey

We assess the outlook across the global fixed-income landscape by surveying bond and currency managers throughout the year. We drill deep into fixed-income investment firms’ expectations on interest rates, inflation, credit fundamentals, emerging-market currencies and more.

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Global Market Outlook

Navigating global markets is more challenging than ever. To get a sharper view, access the data-driven insights of our global investment strategists.

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Economic Indicators Dashboard

What’s the state of the economy? We've identified key economic and market indicators to help assess current conditions and compare them to historic ranges.

Economic Indicators Dashboard