-

Special Edition: Green Finance – High Yield And/or Green Investment

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

The original source-language text of this announcement is the official, authoritative version. Translations are provided as an accommodation only, and should be cross-referenced with the source-language text, which is the only version of the text intended to have legal effect.

Contacts

Green Finance
Bruno Boggiani
Tel: +33 (0)1 40 20 13 13
contact@green-finance.fr

Green Finance


Release Versions

Contacts

Green Finance
Bruno Boggiani
Tel: +33 (0)1 40 20 13 13
contact@green-finance.fr

More News From Green Finance

Green Finance media: BlackRock and its report for Europe which cost EUR 1 000 per page

PARIS--(BUSINESS WIRE)--Green Finance media highlights the following: The European Commission has finally published the report it commissioned from BlackRock! This report, which is nearly 300 pages long, covers the following topic: the development of tools and mechanisms for the integration of ESG factors into the EU banking prudential framework and banks' business strategies and investment policies Before we begin, let us back-track a little… Several months ago, several stakeholders were upset...

Strateggyz - New Report by Philippe Béchade Explaining the End of Deflation

PARIS--(BUSINESS WIRE)--Hyperinflation of virtual assets, financing conditions favorable to negative real rates, health crisis: The last forty years have not spared the global economy. In a report published by Agora, Philippe Béchade explains how the deflationary cycle we are going through is about to end. An idea shared by Bruno Boggiani, financial investment advisor and CNCEF administrator. “A 40-year cycle of deflation, one of the longest in the last 150 years of the industrial age, is about...
Back to Newsroom