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All Results for 2018年 大黄牛 后台控制 .NET 源码✅项目合作 二开均可 TG:saolei44✅.QzJIaPImGuy
May 26, 2025
The Fed’s processes are designed to minimize the cost of capital while the president’s tactics seem to be raising it—who’s right and who’s wrong?
April 30, 2025
The global trade war is accelerating China’s localization efforts; spurring low-cost production in India; and driving incremental growth in Asia’s Golden Triangle.
April 20, 2025
Why U.S. government bonds had a scare, what calmed them down, and what all that suggests for the next few months.
April 16, 2025
We surveyed our deep network of private equity managers for insights on the impacts of President Trump’s tariff announcement.
Jeannette Donkervoet, CFA is a Managing Director of Neuberger Berman. Ms. Donkervoet coordinates the private equity platform marketing and fundraising efforts. In addition, Ms. Donkervoet focuses on designing and implementing customized private equity and multi-asset class solutions for clients. She joined the firm in 2008. Ms. Donkervoet graduated from the Wharton School at the University of Pennsylvania with a BS in Finance and Management and minors in History and Legal Studies. She also holds the Chartered Financial Analyst designation.
Sean Harnett joined the firm in 2020. Sean is a Senior Client Associate for the Kantor Group within the firm's Equities division. With comprehensive experience across multiple asset classes, Sean specializes in implementing equity and fixed-income strategies tailored to diverse investment portfolios. He plays a pivotal role in managing and nurturing the team’s extensive family office relationships. In his capacity, Sean collaborates closely with senior portfolio managers to develop in-depth pitch decks, execute trade programs for portfolio repositioning, and coordinate internal stakeholders to facilitate the successful closure of the team’s private equity transactions. Before his tenure with the Kantor Group, Sean gained valuable experience on Neuberger's Private Client Team, where he was instrumental in onboarding new client relationships. Sean earned his BS in Finance from Providence College and is currently pursuing his MBA at New York University.
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?
February 11, 2025
Japanese Equities: Are the “Lost Decades” Finally in the Rear View?
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
We think easing inflation and a pro-business policy environment will support above-trend growth in 2025, but the balance is delicate with risks piled up on both sides.
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.
January 06, 2025
Why we think 2025 presents a favorable backdrop for fixed income investors, despite the potential for rising volatility.
November 14, 2024
(25:36) Join Anu Rajakumar and Brad Tank as they explore the anticipated differences, potential impacts, and policy directions of Trump 2.0.
November 04, 2024
As the AI revolution stokes demand for faster data transfer and reduced latency, a new ecosystem of innovators in various sub-sectors is taking shape.
October 17, 2024
Our outlook for lower rates and a soft landing favors U.S. small caps, and we are watching China’s new stimulus closely for its impact on global cyclical assets.
July 31, 2024
As artificial intelligence tools gather steam, what’s the potential impact on businesses, investors and the planet?
July 28, 2024
What do slowing growth, lower inflation, tight credit spreads and a steepening yield curve mean for our fixed income views for the rest of the year?
July 16, 2024
Monetary changes and economic stresses are starting to drive diverging fundamentals across fixed income markets, reinforcing the value of security selection.
July 16, 2024
Monetary changes and economic stresses are starting to drive diverging fundamentals across fixed income markets, reinforcing the value of security selection.
July 07, 2024
Right now, second-quarter earnings reports may be a better guide to the economic outlook than official statistics.
July 02, 2024
The first-quarter inflation bump is behind us, but the risks of a monetary policy error and electoral shocks have risen.
June 28, 2024
Issuers are facing an increasingly high bar in relation to environmental, social and governance standards. Our recent panel discussion provided ideas on setting goals and working toward achieving them.
June 05, 2024
(22:53) How are current consumers and companies alike navigating the current, seemingly uneasy, economic environment as it relates to credit markets?
April 09, 2024
While inflation remains a stubborn issue, the softening economy suggests that developed-market monetary easing could start sometime this year.
April 09, 2024
While inflation remains a stubborn issue, the softening economy suggests that developed-market monetary easing could start sometime this year.
March 27, 2024
Jonathan Bailey outlines his investment philosophy, shares insights from working with both governments and asset managers on sustainability, and explains why active investing is critical to achieving net-zero outcomes.
February 27, 2024
Passive investing in commodities is a bit of an oxymoron.
February 15, 2024
In a period of unique market and economic dynamics, Neuberger Berman continued our tradition of vocal engagement to encourage best practices from companies.
February 12, 2024
On February 2, 2024, the yield spread between the Baa corporate bond and the 10-year Treasury bond sat at 147 bps—the narrowest level since 2000.
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 10, 2024
After a year of burgeoning regulatory development, we assess what may come next
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 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.”
July 19, 2023
There is no shortcut to assessing a portfolio’s net-zero alignment: data is incomplete, and we believe analysts’ insights are critical.
April 17, 2023
Why we think recent banking-sector stress has made already attractive U.S. mortgage securities even more keenly valued.
April 09, 2023
Can we lower government debt, sustain positive real rates and finance the transition to a low-carbon economy?
February 26, 2023
The micro and macro factors weighing on commodities since last summer are starting to reverse—and secular tailwinds are building.
February 12, 2023
Has recent strong data changed the fundamental economic and market outlook, or just the timeline?
January 25, 2023
Is money rushing to exit from non-traded real estate because there is more attractive value in listed real estate?
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.
November 29, 2022
If you are one of the many investors looking positively at high yield bonds, you might want to consider emerging markets debt, too.
November 13, 2022
The exuberant response to last Thursday’s inflation data suggests markets are primed for the “pivot”—but could they be extrapolating too far?
November 08, 2022
(15:21) As liquidity remains a key area of focus for investors, particularly amid a volatile backdrop, what opportunities can be explored across more alternative investment categories?
November 06, 2022
Broken promises, fraught debates and a dire economic and geopolitical backdrop are precisely why we believe COP27 is so important.
November 03, 2022
What investors should keep in mind when decarbonizing their portfolios
September 26, 2022
Despite record defaults, stresses remain relatively low for the asset class overall.
September 23, 2022
We recognize that much of the world still runs on fossil fuel. However, we firmly believe investors can construct portfolios that substantially reduce their carbon footprints while retaining exposure to all sectors—including energy.
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 18, 2022
We see increasing likelihood of a recession, but even if we avoid one, we think the coming months are going to feel like a recession as the decline in stock market valuations in the first half of the year are likely followed by a decline in corporate earnings in the second half.
June 28, 2022
Commodity prices are up substantially this year, but we believe structural supply and demand imbalances mean we are still in the early innings of this cycle.
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.
June 01, 2022
Our Non-Investment Grade Credit team explores key issues and trends facing issuers.
May 31, 2022
Neuberger Berman supports management proposals to declassify the board, eliminate supermajority voting requirements, and provide shareholders the right to call special meetings at Netflix Inc. Portfolio Manager, Jason Tauber, shares his insights on the proposals in further detail.
May 31, 2022
The world faces a $15 trillion infrastructure financing gap by 2040, and cash-strapped governments are increasingly calling on private capital to achieve their digitalization, decarbonization, supply-chain enhancement and social-infrastructure goals.
April 22, 2022
As investors focused on long-term sustainability, we have long focused on emissions, energy efficiency as well as long-term opportunities and threats in business models as it relates to their sustainability and competitiveness over the long run.
April 19, 2022
From defining and setting interim targets from day one, to the critical role of bondholder engagement, we reflect on the process of putting together a major net-zero credit portfolio.
April 11, 2022
We believe the conflict in Ukraine may turn out to be less critical for equity markets than the upcoming turn we anticipate in the economic growth cycle.
March 10, 2022
Where to find yield without duration when inflation is elevated.
February 15, 2022
Global sustainability cannot be achieved without sustainability in the world’s poorer countries—so how can we address the challenges of sustainable investing in emerging markets sovereigns?
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.
November 19, 2021
While there was no “Eureka!” moment, COP26 delivered some important symbolic gestures and substantial progress.
November 02, 2021
New York, November 2, 2021 – Neuberger Berman, a private, independent, employee-owned investment manager today announced that the firm joined the Net Zero Asset Managers Initiative, which has the goal of achieving net zero emissions in line with the Paris Agreement.
October 20, 2021
(15:30) With regulatory frameworks changing for ESG investing, what might investors want to keep in mind as they develop sustainable portfolios?
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.
April 23, 2021
Support for the goal of net-zero emissions gained strong momentum during 2020. What does this imply for market participants, and what initial steps can asset owners and managers take on this daunting path?
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?
January 11, 2016
July 02, 2025
Discover Neuberger Berman, a leading global investment management firm with 85 years of experience, offering innovative solutions in equities, fixed income, private equity, and alternatives.
May 05, 2025
The rest of the world is due some cyclical catch-up with the U.S., but talk of a structural change in the global economic ecosystem is premature.
February 18, 2025
Neuberger Berman, a private, independent, employee-owned investment manager, is pleased to announce the final close of NB Specialty Finance Fund III LP (the “Fund”).
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