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September 30, 2025
(25:48) Stephanie Luedke explores how shifting generational priorities amid the transfer of $124 trillion of familial wealth are reshaping how families and professional investors approach wealth management today.
August 13, 2025
Private infrastructure stands out in an uncertain world.
August 06, 2025
We believe the interplay among the prices of precious metals has important implications for constructing resilient, full-cycle commodity portfolios.
August 05, 2025
(24:12) Hear from Dan Hanson and Evelyn Chow as they reveal how the booming space economy is opening new frontiers and investment opportunities.
July 24, 2025
(28:52) At the midpoint of 2025, NB’s investment leaders revisit their key market themes, examining what played out as expected, and what surprised them. Discover the drivers and risks shaping the rest of the year.
July 14, 2025
While tariff uncertainty continues to linger, the passage of the One Big Beautiful Bill provides business leaders with long-awaited policy clarity that may provide a boost to capital expenditure.
July 10, 2025
At the end of 2024, our CIOs sat down to discuss the five key themes they expected to impact markets. At mid-year, we assess how those have played out so far.
July 01, 2025
(16:30) Explore the future of Private Equity Secondaries and their role in navigating today’s challenges.
June 25, 2025
Five years after the COVID-19 pandemic sent tremors through the real estate (RE) industry, we believe evolving market dynamics are opening more opportunities for well positioned investors across the sector.
June 18, 2025
Elevated tariffs and tighter immigration are a key focus for today’s insurance modelers.
June 16, 2025
U.S. consumers remain resilient, but business sentiment holds the key for the trajectory of future economic growth.
June 16, 2025
While secondaries have been one of the fastest growing segments of the private equity market for more than a decade, we expect that further demand for liquidity, along with renewed macroeconomic uncertainty and recent market volatility, will continue to create attractive opportunities for seasoned secondaries investors in the current environment.
May 20, 2025
Business confidence needs to improve to restart U.S. investment and growth—could the forthcoming tax bill provide the impetus?
April 10, 2025
We believe a yield advantage and improved credit quality make U.S. high yield worth a look.
March 20, 2025
A short introduction to a unique and fast-growing asset class.
March 11, 2025
After years of limited activity, companies are looking for a chance to accelerate M&A, but the new administration and its policies will likely set the tone for dealmaking.
March 09, 2025
Neuberger Berman’s 2025 Capital Market Assumptions offers investors intermediate-term (5-10 year) forward-looking return and risk estimates for fixed income, equity, and alternative asset classes across multiple geographies.
March 07, 2025
Investment grade credit yields are attractive even though spreads are tight, and a global approach can add another layer of opportunity.
February 11, 2025
With a liquidity drought fading, investors can return to the more normal task of building private market portfolios designed to pursue unique investment goals.
February 10, 2025
Is there structural mispricing in Corporate Hybrids?
January 26, 2025
Were 26 executive orders enough to convey the new administration’s direction and resolve the uncertainties in our outlook?
January 21, 2025
The U.S. corporate hybrid market emerged as a competitor to Europe’s in 2024, creating alpha opportunities for global investors like Neuberger Berman.
December 09, 2024
New York, NY, December 9, 2024 – Neuberger Berman, a private, independent, employee-owned investment manager, is honored to be ranked first among companies with 1,000 employees or more in the 2024 “Best Places to Work in Money Management” survey by Pensions & Investments.
August 21, 2024
(17:09) Unpacking the influence of the Asia Equities market as it relates to big tech with Eileen Furukawa
August 01, 2024
A growing trend for issuing corporate hybrids with shorter contractual maturities is further reducing aspects of risk in the asset class.
July 18, 2024
Broadly diversified economies and a limited private equity presence appear to be enhancing regional opportunities for private capital.
July 18, 2024
When equities sputter, market volatility simmers and interest rates remain elevated, we believe underwriting market risk—by writing puts on the S&P 500 Index—can be a capital-efficient strategy for investors seeking to generate a diversified source of income in an uncertain economic environment.
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 07, 2024
Right now, second-quarter earnings reports may be a better guide to the economic outlook than official statistics.
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?
May 05, 2024
How higher rates for longer could be positive for U.S. consumption.
March 10, 2024
The artificial intelligence investment theme made the “Magnificent Seven”—but could soon begin to disrupt it.
March 01, 2024
Exploring opportunities in the cyber (re)insurance market.
February 27, 2024
Passive investing in commodities is a bit of an oxymoron.
February 27, 2024
(15:45) With real estate valuations falling and liquidity needs rising, could Real Estate Secondaries be considered “a diamond in the rough” market?
February 18, 2024
U.S. consumer sentiment has defied predictions of excess savings running dry, but do hotter inflation data pose a risk?
December 12, 2023
New York, NY, December 12, 2023 – Neuberger Berman, a private, independent, employee-owned investment manager, is honored to be second among companies with 1,000 employees or more in the 2023 “Best Places to Work in Money Management” survey by Pensions & Investments.
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.
June 30, 2023
Expanding interest in ESG suggests that issuers are likely to be called upon for more disclosure, communication and progress in the coming years, making it crucial to effectively navigate these areas.
June 16, 2023
Private Placement Debt can offer fixed income investments enhanced diversification, risk-adjusted yield and downside mitigation. We anticipate growing recognition of the role it can play in a wide range of investor portfolios.
June 06, 2023
(19:40) Given the market crises that have challenged real estate markets, is there a silver lining to be found in commercial real estate?
April 17, 2023
Why we think recent banking-sector stress has made already attractive U.S. mortgage securities even more keenly valued.
March 07, 2023
(18:58) Could chatbots and artificial intelligence take over? Or simply change the way we work?
December 12, 2022
Neuberger Berman, a private, independent, employee-owned investment manager, is honored to be ranked first among companies with 1,000 employees or more in the 2022 “Best Places to Work in Money Management” survey by Pensions & Investments.
December 04, 2022
The FTX collapse is a blow to the idea of finance industry disruption and a potential source of volatility, but we think systemic contagion into broader financial markets is unlikely.
December 01, 2022
As private equity investors scramble for liquidity in this volatile climate, more general partners are orchestrating transactions in the secondary market.
November 03, 2022
What investors should keep in mind when decarbonizing their portfolios
October 26, 2022
(12:04) As governments seem to be finally getting serious about infrastructure spending, we explore some considerations of investing in this space.
October 20, 2022
A laggard over the past decade, commodities appear, in our view, poised for continued strength in the years ahead.
October 07, 2022
Despite volatility, the basic storyline of inflation and the Federal Reserve should continue to drive market behavior.
September 13, 2022
(19:35) As generational populations shift, what is going on in the psyche of today's digitally native consumer?
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.
September 08, 2022
As investors navigate the challenges of integrating public and private markets we believe a single, unconstrained multi-asset portfolio can deliver a more efficient and opportunistic solution.
August 23, 2022
We believe smaller companies are poised to shine brightly in the “land of the rising sun.”
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 03, 2022
Are we seeing the start of another eurozone crisis, or can the ECB fashion an effective tool to manage volatile southern European bond spreads?
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.
May 26, 2022
In a recent PERE interview, Scott Koenig, Managing Director & Head of Real Estate Secondaries, discusses why he believes the volume of traditional style LP-led transactions will continue to grow and why they still offer attractive characteristics that remain appealing for investors seeking to buy into the long-established benefits of the secondaries.
February 01, 2022
(19:53) As we continue our conversations around the current global supply chain crisis, we evaluate what companies with production overseas are doing about meeting consumer demands and more.
January 28, 2022
Could Bitcoin options be the “picks and shovels” of the cryptocurrency Gold Rush, a way to convert Bitcoin from a “get rich” to a “stay rich” asset?
December 21, 2021
Our Option Group believes that Bitcoin is the most likely of all the cryptocurrencies to emerge as a durable new asset—and the difficulty of pinning down exactly what kind of asset it is could be a big reason why.
November 30, 2021
Beyond price volatility, the threat of regulation is probably the next biggest source of risk for Bitcoin and other digital assets—with financial-system risk and high energy demands topping the agenda.
November 17, 2021
(13:48) With inflation and interest rate risks on the rise, what might make investors want to take a second look at real estate secondaries?
November 08, 2021
In this paper, we share our proposal on how to gain Bitcoin exposure in what we view as a more risk-efficient, hedged format that seeks to benefit from one of its most notable qualities—its volatility.
November 02, 2021
(21:52) Companies today have a variety of pathways to go public, but we also have seen them want to stay private for longer. So where might the opportunity set be within this gray area of investing?
October 27, 2021
Several competitors have emerged to challenge Bitcoin and its blockchain over the past decade, but here’s why our options team believes the original digital asset is the only genuine digital asset.
October 25, 2021
From de-urbanization to e-commerce, three heads of our real estate teams debate key sector trends.
October 14, 2021
Establishing the cryptocurrency as legal tender is a risky move, but also carries some potential benefits.
September 21, 2021
(20:12) With flooding, wildfires and hurricanes continuing to wreak havoc around the globe, how might investors want to consider these natural catastrophe risks within their portfolios?
September 07, 2021
(19:21) With changes to Chinese regulatory policy, many investors have started to pull away their investments in China. Putting the pandemic and geopolitical tensions aside, could these investors perhaps be leaving potential opportunities behind as a result?
July 30, 2021
We believe the higher speed, greater connectivity and lower latency enabled by 5G networks will unleash a range of technologies that can play a critical role in realizing the UN Sustainable Development Goals.
July 02, 2021
How have Private Markets been affected by the pandemic?
March 09, 2021
(14:25) Using broad analysis and insights, the ESG Investing team evaluated what, in their view, is important to share with companies in order to make a difference, especially after a year like 2020.
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