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All Results for 虚拟区块链产业 im/Tp冷钱包TRX ETH HECO OKT BNB静态转账网页✅项目合作 二开均可 TG:saolei44✅.LPKNtINMqfa
July 07, 2025
Despite ongoing policy uncertainty and tariff-related volatility, we are cautiously optimistic thanks to resilient economic fundamentals, broadening equity market performance, and the potential for pro-growth policy shifts later in the second half of 2025.
June 18, 2025
Elevated tariffs and tighter immigration are a key focus for today’s insurance modelers.
May 15, 2025
Despite recent headwinds, we believe private equity can help shield investors from negative tariff impacts while delivering long-term portfolio diversification.
April 16, 2025
We surveyed our deep network of private equity managers for insights on the impacts of President Trump’s tariff announcement.
April 15, 2025
(20:32) Explore how true diversifiers and dynamic strategies can help investors mitigate market volatility and build resilient portfolios in uncertain times
April 14, 2025
The first weeks of the new U.S. administration have been hugely disruptive—can sentiment improve as focus shifts from trade to tax cuts and deregulation?
April 10, 2025
We believe a yield advantage and improved credit quality make U.S. high yield worth a look.
April 04, 2025
New tariffs could hamper U.S. economic growth and change market dynamics for the long term.
March 30, 2025
Seventy days into the new U.S. administration, we are beginning to accrue enough hard data to correct or confirm the pessimism of recent soft data.
March 11, 2025
Recent gyrations have highlighted the inherent risk in the U.S. equity market’s growthy tilt—more evidence, in our view, that it’s time to increase exposure to value.
February 25, 2025
In a dynamic environment, we believe emerging market corporate credit ratings should show continued improvement.
February 13, 2025
Investors appear to be underestimating credit prospects in a generally moderate economic climate.
February 10, 2025
Are these levies just a negotiating tool, or an unorthodox revenue-raising scheme? The answer could determine how seriously investors should view them.
February 04, 2025
We believe investments in private equity may be less affected by a tougher U.S. tariff regime than the overall economy.
January 28, 2025
(23:42) CIO and Global Head of Fixed Income, Ashok Bhatia, discusses rates, inflation and policy with host Anu Rajakumar and how these forces could impact Fixed Income in 2025.
January 20, 2025
The first two weeks of 2025 perfectly illustrate why we see a wide dispersion of potential outcomes for the year, and advocate staying nimble and diversified.
January 13, 2025
We anticipate a supportive U.S. growth and inflation environment in 2025, but equity investors may not benefit from it by simply tracking the S&P 500 Index.
January 08, 2025
We believe a strong economy, rebounding industrial activity, improving liquidity and rising animal spirits should continue to support corporate earnings growth and a broadening of the U.S. equity market in the coming year.
December 01, 2024
Islands of agreement cannot disguise a rising sea of disappointment, piling pressure on COP30 to restore a spirit of multilateralism.
November 14, 2024
While the policies and implications of Trump 2.0 are difficult to predict, we remain optimistic about private equity’s ability to navigate change in a dynamic environment and potentially deliver attractive risk-adjusted returns.
November 11, 2024
As COP29 gets underway, we consider the meeting agenda against the background of both the climate itself and recent progress on climate policy and financing.
November 04, 2024
Uncertainties around trade make for a somber economic summit, even as multilaterals could soften the potential blows.
As an asset manager with a long-term perspective, Neuberger Berman recognizes the impact of climate change and that the transition toward global net-zero emissions is well underway. We are committed to partnering with clients seeking to have their assets managed in line with a net-zero objective.
August 12, 2024
Hong Kong, August 12, 2024 – Neuberger Berman, a private, independent, employee-owned investment management firm, is pleased to announce the appointment of Simon Cheung as Senior Vice President to spearhead its single family office efforts in Hong Kong and Southeast Asia. Simon reports to Greg Wu, Head of Institutional Client Group for Southeast Asia, Hong Kong, and Taiwan.
July 17, 2024
A close election could see increased U.S. equity volatility followed by a relief rally, while resulting policy impacts could take time to play out and may be affected by fiscal constraints.
July 16, 2024
The first-quarter inflation bump is behind us, but we believe the risks of monetary policy errors and electoral surprises have risen.
July 16, 2024
The first-quarter inflation bump is behind us, but we believe the risks of monetary policy errors and electoral surprises have risen.
May 16, 2024
In this interview Wouter Klijn from i3 (Australian institutional publication) speaks with Matthew Kaplan and Justin J. Hakimian.
April 17, 2024
The economic outlook may have improved, but we believe large parts of the credit and equity markets are fully valued.
April 17, 2024
The economic outlook may have improved, but we believe large parts of the credit and equity markets are fully valued.
April 08, 2024
The economic outlook may have improved, but large parts of the credit and equity markets are fully valued.
February 18, 2024
U.S. consumer sentiment has defied predictions of excess savings running dry, but do hotter inflation data pose a risk?
February 12, 2024
Corporate credit offers tight spreads and a broad consensus—might the complex crosscurrents of securitized products be more interesting?
February 06, 2024
Net Asset Value loans have captured popular interest across the Private Equity universe.
January 11, 2024
With cash rates priced to decline substantially, we think it is time to deploy liquidity, locking in bond yields and seeking out value in the equity market.
January 11, 2024
With cash rates priced to decline substantially, we think it is time to deploy liquidity, locking in bond yields and seeking out value in the equity market.
November 20, 2023
Securitized credit, and especially mortgage-backed securities, can be an attractive source of income while waiting for volatile bond markets to settle.
November 09, 2023
In our second installment of The Fine Print of Indexation, we tackle the challenge of building net-zero-aligned portfolios.
October 30, 2023
London, October 30, 2023 - Brunel Pension Partnership Limited (Brunel) has selected Neuberger Berman to manage its third cycle private equity portfolio.
October 11, 2023
“Savings depletion and weakness among small-cap and regional bank stocks suggest that the U.S. economy may not be as strong as it seems.”
October 11, 2023
“Savings depletion and weakness among small-cap and regional bank stocks suggest that the U.S. economy may not be as strong as it seems.”
October 03, 2023
(26:14) With the boom of generative AI, we explore the sector to determine whether we truly are amid the next industrial revolution or if it is just beginning…
August 22, 2023
(20:40) As concerns about bank failures and rising interest rates persist, how has the real estate market been impacted?
July 05, 2023
The backdrop for investing in climate innovation is at a critical infection point
June 30, 2023
The climate transition continues to be a topic of strategic focus for asset owners and private equity managers alike, but major hurdles remain in order to implement and evidence the progress toward decarbonization.
May 15, 2023
Recent market turbulence provides yet another example of how private equity managers have improved their ability to weather volatile conditions.
April 17, 2023
Why we think recent banking-sector stress has made already attractive U.S. mortgage securities even more keenly valued.
March 27, 2023
(9:14) Doug Manor, Managing Director, Neuberger Berman Private Markets, provides an overview of private equity markets and an outlook based on trends in the marketplace.
March 13, 2023
In this bulletin, we provide our view of the events of the last week and their implications for the bank sector.
February 19, 2023
We firmly believe that Congress will ultimately raise the debt limit, but it’s worth remembering that political drama affects markets.
January 29, 2023
You’ve pinned down your economic and market outlook, but what does it imply for your investment strategy—and how much of that is realistic?
December 12, 2022
In many respects, COP27 was neither feat nor flop.
November 30, 2022
During the past year our established relationships with issuers in developed and emerging markets enabled us to have meaningful engagements with a number of management teams. We engaged on key ESG issues such as climate change, community relations, and human capital management.
October 23, 2022
In a tough market environment, we believe company management teams and boards have to be more creative, daring and decisive; seeking event-driven opportunities is all about finding those taking the most impactful action.
September 11, 2022
Following a year of starkly revealed vulnerabilities in water, energy and supply-chain assets, some game-changing legislation suggests that governments are finally getting serious about infrastructure investment.
August 14, 2022
The run-up to China’s leadership meetings this fall is delaying substantial policy changes, in our view creating opportunities in advance of potential economic improvement next year.
July 10, 2022
Caution may be warranted during the uncertainty of the next quarter—but after markets have sold off so much, does it really make sense to be more pessimistic now than at the start of this year?
June 28, 2022
(17:11) What role does carbon play across infrastructure and are companies implementing changes across their operations as a result?
June 22, 2022
Laying the groundwork for future iterations of climate-integrated SAA by exploring the additional factors an investor may consider evaluating for private markets application.
May 03, 2022
Is your strategic asset allocation process missing climate risks—and foregoing climate opportunities?
December 28, 2021
(20:41) At COP26, the 2021 United Nations Climate Change Conference, many promises were made. Now investors are closely watching governments and companies to see how they take concrete action.
December 23, 2021
Markets may be missing the importance of record-low real rates, and the potential impact if they start to rise.
December 22, 2021
This week, Neuberger Berman has announced that the firm is seeking improved disclosure from Daibiru Corporation regarding its decision to support its parent company and controlling shareholder, Mitsui O.S.K. Lines’ tender offer.
December 20, 2021
As the fossil fuel industry, coal in particular, may suffer job losses, it is important to ensure that a low carbon energy transition can work for everyone.
August 31, 2021
Available data suggests that a balanced risk allocation to real assets may be the most robust way to mitigate the impact of upticks in inflation.
July 23, 2021
London, 22 July 2021 - Neuberger Berman, a private, independent, employee-owned investment manager, has been awarded a £1.3bn climate transition-related multi-asset credit mandate from the Brunel Pension Partnership.
July 06, 2021
In the second of our conversations about the post-pandemic landscape, we spoke with a power utility and an industrial gases company about climate-related risks and opportunities.
June 21, 2021
In the first of our conversations about the post-pandemic landscape, Erik Knutzen spoke with economist Nancy Lazar about the future of globalization.
April 06, 2021
(20:45) Climate change and achieving net-zero carbon emissions are at the forefront of global policy issues today, but how can investors make an impact when it comes to their portfolios?
March 15, 2021
A political scientist weighs the potential for real progress out of Washington, DC, across a range of important issues.
March 10, 2021
Recent appreciation in the cryptocurrency may be tantalizing, but understanding the dynamics behind this speculative asset is crucial before considering it as a potential investment.
March 08, 2021
In the latest edition of Private Equity International’s keynote interview, three senior partners on our Secondaries team, Ben Perl, Ethan Falkove and Peter Bock, discuss the drivers behind the increasingly active GP-led secondary market.
March 18, 2019
June 06, 2016
We support the Joint US and Canadian Announcement on Limiting Methane Emissions from the Oil and Gas Industry. Read our statement.
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