
Disengagement, Division, or Diversification: the Future of Globalization
MetLife Investment Management
March 20, 2023

1Q:2023 Strategic Investment Outlook: Four Strategic Allocation Issues for Asset Owners in 2023
Alliance Bernstein
March 7, 2023

Insurance Insights | Relative Value & Tactical Asset Allocation – Q1 2023
MetLife Investment Management
January 25, 2023

Predicting the Pivot: Why 2%?
MetLife Investment Management
January 25, 2023

Four Investment Strategies for Insurers to Consider as Interest Rates Rise
SS&C Technologies
January 18, 2023

Global Risks 2023: Recession, Inflation, and Central Banks
MetLife Investment Management
January 17, 2023

Buy Now, Pay Later: Early Warning Signs of a Weaker Consumer?
MetLife Investment Management
January 17, 2023

Technical Analysis Chart Pack: November 2022
MetLife Investment Management
December 7, 2022

Decoding a Mixed Economy
MetLife Investment Management
November 29, 2022

Four Scenarios: Recession, Soft Landing, Stagflation or the Status Quo
MetLife Investment Management
November 29, 2022

Can Climate Variables Drive Alpha?
MetLife Investment Management
November 29, 2022

This Year’s Half-Hearted Policy Response a Harbinger for Things to Come
MetLife Investment Management
October 28, 2022

Insurance Insights | Relative value and tactical asset allocation
MetLife Investment Management
October 28, 2022

A Cutting History: 2023 in Context
MetLife Investment Management
October 28, 2022

The Case for Infrastructure
Macquarie Asset Management
October 21, 2022

Benchmark Snapping with Erik Troutman, Senior Insurance Strategist at Loomis Sayles
Loomis Sayles & Company, LP
October 17, 2022

Excess Savings and the Consumer
MetLife Investment Management
October 6, 2022

Fishtailing into the Next Recession
MetLife Investment Management
October 6, 2022

Conning Insights – Impact of Inflation Webpage
Conning
September 23, 2022

Global Risks 2022 Mid-Year Review
MetLife Investment Management
July 27, 2022

The Evolution of Direct Lending with Invesco’s Ronald Kantowitz
Invesco
June 13, 2022

Rising Rates Pushing Investors Back to Core Bonds
Income Research
April 20, 2022

Global Risks 2022
MetLife Investment Management
March 16, 2022

Balance-Sheet Normalization and the Next Recession
MetLife Investment Management
March 10, 2022

2022 Insurance Playbook: Volatility Could Present Repositioning Opportunity
Alliance Bernstein
February 23, 2022

Market Frictions and Climate Change: Why the Marketplace Can’t Just Fix it
MetLife Investment Management
November 9, 2021

Inflation Housing, not Supply Chains
MetLife Investment Management
November 9, 2021

Technical Analysis Chart Pack: August 2021
MetLife Investment Management
August 16, 2021

Recovery Risks at Mid-Year 2021
MetLife Investment Management
July 22, 2021

Technical Analysis Chart Pack July 2021
MetLife Investment Management
July 21, 2021

Just Because You Call It a Recession Doesn’t Make It One
MetLife Investment Management
July 2, 2021

Technical Analysis Chart Pack: April 2021
MetLife Investment Management
April 22, 2021

Still Chained: N95 Masks and Supply Chains Lessons During COVID-19
MetLife Investment Management
March 30, 2021

Supply/Demand Mismatches and 2020 Economic Growth
MetLife Investment Management
March 26, 2021

What’s the Worst that Could Happen?
MetLife Investment Management
February 25, 2021

How to Stop Worrying and Learn to Love Inflation
MetLife Investment Management
February 2, 2021

Technical Analysis Chart Pack: Jan 2021
MetLife Investment Management
January 22, 2021

A Multispeed Recovery – 2021 Global Risks
MetLife Investment Management
December 22, 2020

Protecting the Amazon by Investing in Brazilian Beef
Alliance Bernstein
October 21, 2020