PARIS--(BUSINESS WIRE)--In a special edition on high yield and/or green investment (including all ESG criteria), the Green Finance media channel asked a number of managers for their thoughts on the end of 2021 and the outlook for 2022.
2021 could be summed up as follows: Recovery; Economic Upturn; Inflation; Debt; Decarbonization; No major default
2022 looks set to feature: Normalization; Provisional; Transition; Monetary turning point; Climate; Fragmentation; Volatility
Do you think that Green Investment will become even more important in 2022?
Read the experts:
- Frederic Salmon, Pictet Asset Management, Senior Sales Manager
- Maud Bert, OFI AM, Head of High Yield Portfolio
- Guillaume Truttmann, Meeschaert Amilton AM, MAM High Yield and MAM Variable Rate Bond Manager
- Bernard Lalière, DPAM, Head of High Yield, and Marc Leemans, DPAM, Senior Portfolio Manager
- Laurent Calvet, Tikehau Capital, Credit Portfolio Manager and Executive Director at Tikehau Impact Credit, part of Tikehau Capital
- Romain Lacoste, IVO Partners, Senior Manager
- Laurent Bonhomme, Orano, Head of Financing, Front Office and Trade Finance
Access the full green finance high yield and/or green investment special edition – HERE
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