Risk and Reward - Q3 2017

Sep 1, 2017 | Invesco

Factor investing is more than just another investment style. It is a concept that can be applied not only to equities, but to asset management in general.

The current issue of Risk & Reward explores this topic and examines how a multi-asset, multi-factor investment strategy can create a standalone solution or be used as part of a broader portfolio. Additional topics include an outlook on emerging market bonds and a consideration of the European banking sector through a valuation-led, proactive approach.

Click Download PDF to read the publication.