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Global Emerging Markets Quarterly
PAM Institutional Investment Focus
PAM Monthly Global Outlook
Flash Notes

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Financial research and publications

This section is dedicated to technical economic and financial information.

 
Please keep in mind that some of our reports are subject to an embargo and thus may not be immediately available to the public.

Latest study related to Socially Responsible Investment

How to survive the next crisis : Is SRI the silver bullet?

A new approach to SRI


How to survive the next crisis

 

Unsustainable business practices such as providing sub-prime loans to people who could not afford them, excessive risk-taking fuelled by dysfunctional incentive schemes and poor corporate governance were among the prime causes of the financial crisis.

 

All of the above are also traditional concerns of Socially Responsible Investment (SRI). But although the crisis has vindicated many of the tenets of social investors, this did not materialise in a significantly better downside protection or superior financial performance of SRI portfolios during this difficult period.

 

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Investment - Perspectives Publication - December 2011

2012: mixed outlook of reflation hopes and deflation fearsShifts in volatility regime: a power tool for tactical allocation 
Topic of the month: Volatility for asset allocation  

Volatility in asset pricing, though notoriously hard to predict, is a powerful tool when it comes to deciding tactical asset allocations. We have classified volatility into three regimes so as to overcome the unpredictability issue. Evaluating when shifts from one mode to another might occur, an easier task, is informed by our core and alternative economic scenarios.

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