Beleggers die hun portefeuille diversifiëren door negatief gecorreleerde activa te combineren, kunnen hun blootstelling aan de specifieke risico's van bepaalde beleggingen verminderen en de schommelingen van hun globale portefeuille afvlakken.
In 2022, de integratie van ecologische, sociale en governance-factoren (ESG) en duurzaam beleggen werden onvermijdelijk op de proef gesteld, met name door de toenemende controle op definities en de politisering van het debat, vooral in de VS.
From mid-February to March 2023, Carmignac’s EM team travelled to China. This trip was the first in three years due to Covid lockdown and makes Carmignac one of the first developed-market asset managers to get back on the ground!
Unsupported browserWe've noticed that your browser is no longer supported. To ensure optimal performance and security while using our website, we recommend updating your browser or other relevant software. Thank you for your understanding!