Invesco | Brexit – deadline day fast approaching
The latest Invesco Podcast hears from Invesco’s Head of UK Government Relations, Graham Hook, regarding the imminent conclusion of the UK’s transition period.
2nd Dec 2020
Beyond the defaults
Invesco take a deep dive into the world of auto-enrolment in the UK to ask whether better uses of language can help overcome some of the barriers that stand in people’s way when they try to consider t...
Invesco | US elections: the current state of play
Listen back to the 1 October webinar, where Invesco’s Andy Blocker, Head of US Government Affairs, updated us on the latest political developments.
6th Oct 2020
Invesco | Webinar replay: The Income Dilemma
Income seeking investors face severe headwinds as a result of COVID-19. Listen to our fixed income, global equities and multi-asset experts discuss the income dilemma.
22nd Jul 2020
Invesco | Webinar replay: Asian equities update (June 2020)
William Lam and Ian Hargreaves, Co-Heads of Asian and Emerging Market Equities, discuss how markets have been impacted, with a particular focus on China, and the outlook for the region as we look beyo...
6th Jul 2020
ESG and Multi Asset – a framework
In a recent paper Clive Emery, Multi Asset Portfolio Strategist at Invesco, discusses ESG’s role in multi asset and macro investment management.
9th Jun 2020
Invesco | Webcall replay: Global Focus Equities Update
Randy Dishmon, Senior Portfolio Manager, shares his outlook for the structural growth trends that are changing the world and influencing his portfolio positioning.
The Week: Does value investing still have a place in your portfolio?
It’s been a rough time for value managers. Has quantitative easing killed off value as a strategy? Or can it stage a comeback?
21st May 2020
Turning on the fiscal taps
How bad will the economic fallout from COVID-19 be? Could it be worse than the Global Financial Crisis? These are difficult questions to answer with any certainty today.
20th May 2020
Invesco | Exiting lockdown and the EU transition
How has COVID-19 affected the UK government’s approach to EU negotiations? Graham Hook, Head of UK Government Relations & Public Policy at Invesco, discusses.
18th May 2020
Corporate Bond update
At the end of an extremely dramatic week and three weeks into what could be a prolonged period of market volatility, Mike Matthews, Fixed Interest Fund Manager, gives an update on investment grade cor...
15th May 2020
COVID-19: Why the ‘S’ in ESG matters
The pandemic is showing us why keeping an eye on employee welfare, corporate culture and supply-chain sustainability is of particular importance.
13th May 2020
Invesco | Core US exposure, with ESG criteria
Chris Mellor and Jaspreet Duhra (Senior Director of ESG Indices at S&P Dow Jones Indices) discuss an ESG alternative to the S&P 500 index.
7th May 2020
Positioned to take advantage of recovering markets
As credit spreads have widened, we have been building income streams that should benefit investors in years ahead. Read the fixed income update.
29th Apr 2020
Invesco | Europe’s first GBP corporate bond ETF with ESG criteria
For fixed income investors who want their investments aligned with their views on ESG, ETF opportunities have up until now been lacking.
22nd Apr 2020
Investing in ideas - Invesco Multi Asset
With global investors facing a black swan event in the form of Covid-19, finding effective diversification and mitigating risk has again risen to the top of agendas.
21st Apr 2020
Invesco Podcast: An oil price discussion and forecast
In this Invesco Podcast Ben Gutteridge, Director of Model Portfolio Services, speaks to BCA Research’s Chief Commodity & Energy Strategist, Bob Ryan.
15th Apr 2020
Our views on COVID-19
Over the past few months investors have been rocked by coronavirus fears, leading to one of the most turbulent times in financial market history. Read the latest thoughts of our investment experts – a...
14th Apr 2020
What fiscal and monetary responses are needed in the US to combat the Covid-19 crisis?
Given clear signs that markets are not functioning efficiently, what is the Fed doing about it? John Greenwood, Invesco’s Chief Economist, discusses.
9th Apr 2020
Update on UK Equity Income Strategies
The coronavirus-triggered falls since mid-February are plainly evident across all markets. UK Equities Product Director, Joanna Smith, considers how the effect in the UK has been substantial.
2nd Apr 2020
Invesco | Flying update: Coronavirus and bond markets
How have fixed income markets responded to the coronavirus outbreak? Lewis Aubrey-Johnson, Head of Fixed Income Products at Invesco, discusses.
13th Feb 2020
Invesco | Flying update: Weak patch for US Treasuries
In 102 seconds, Head of Fixed Income Products Lewis Aubrey-Johnson examines US government bonds, which are at their weakest for around a year. How will this affect bond markets?
25th Nov 2019
Invesco | Times change
Times change: Always progressive, Invesco is committed to marrying heritage and tradition with forward-facing plans and collaborating with clients and partners to reinvest in the industry and a bette...
31st Oct 2019
Invesco | What does the inverted US yield curve tell us?
The US yield curve inverted for the first time since 2007. What is the yield curve’s success in predicting previous US recessions? Is the inversion consistent with US data? What other reasons could be...
17th Sep 2019
Invesco | Updating the cycle
Conventional cycles end by design, but Multi Asset Fund Manager, Richard Batty argues that this cycle is different.
6th Sep 2019
Invesco | Flying update: Three things to consider in autumn
119 seconds – Back to school! Lewis Aubrey-Johnson, Head of Fixed Income Products, discusses three things you need to think about when it comes to fixed income portfolios this autumn.
4th Sep 2019
Invesco | One year of the Summit Growth range
In July 2018, Invesco launched the Summit Growth Range– their new range of five multi asset Funds-of-funds managed around pre-defined risk targets. As they move past the one-year anniversary of the fu...
21st Aug 2019
Invesco | Risk & Reward: A factor-based approach to diversifying oil exposure
Latest research on diversifying oil exposure, how patent data can be a predictor of equity returns in innovation-based companies, fixed income factor investing - and China’s second tier cities and the...
17th Jul 2019
Invesco | Flying update: Government bond yields lower still
111 seconds – government bond yields have fallen even further (to record lows in some cases). Lewis Aubrey-Johnson, Head of Fixed Income Products shares his thoughts from our Henley Investment Centre.
12th Jun 2019
Invesco | Flying update: UK sourced revenues
85 seconds – Product Director, Neville Pike explains the opportunity in UK sourced revenue, from his desk in the Henley Investment Centre.
4th Jun 2019
Invesco | Is 2019 the year of the bounce-back for UK equities?
How easy is it to find income opportunities in the UK? Following a weak 2018 in domestic markets, Mark Barnett explains why he is positive on UK equities and where he is finding opportunities.
Invesco | How are UK smaller companies faring?
Is the future bright for smaller companies? How are they preparing for Brexit? Fund Managers, Jonathan Brown and Robin West share their thoughts on the smaller end of the UK equity market.
28th May 2019
Invesco | A ‘glass half full’ view on UK equities
Fund Manager, Martin Walker remains optimistic about investing in UK equities, despite UK political uncertainty. This video covers the outlook for the UK equities, value investing, areas of portfolio...
21st May 2019
Invesco | Flying update: Government bond yield pickup
91 seconds – from his desk, Lewis Aubrey-Johnson, Head of Fixed Income Products explains how positive economic data from China is affecting global government bond yields.
20th May 2019
Invesco | Keeping ahead of the (yield) curve
Global yield curves give a good indication of what the market expects for interest rates, accounting for inflation and growth. This video explains global interest rate expectations across different ma...
17th May 2019
The Week: Brexit, no Brexit
Whatever side you’re on, Brexit means higher costs for asset managers, which means more consolidation
14th Mar 2019
Invesco | A dose of optimism in US equity markets
After a build-up of negative sentiment towards the end of 2018 – Simon, US Equities Fund Manager and John Botham, Global Equities Product Director discuss how that sentiment has changed since January...
12th Mar 2019
Invesco | Big changes and easier opportunities in high yield
Thomas Moore, Fund Manager and Senior Credit Analyst outlines his views on the current high yield environment.
Invesco | Investing in equities: the world of the optimist
2018 was the fifth worst year in 40 years for UK equity markets. Does Fund Manager, Ciaran Mallon think there is room for more optimism as we move into 2019?
Invesco | Finding value in financials
Despite the noise surrounding the markets – including the financials sector - in 2018, is Julien Eberhardt Fund manager and Senior Credit Analyst still able to find value?
8th Mar 2019
Invesco | Cautious, but confident
Rhys Davies, Portfolio Manager and Senior Credit Analyst gives his views on: His expectations and outlook for the coming months, whether high yield now offers value, where he is currently finding oppo...
5th Mar 2019
Invesco | Challenging environment: a mixed asset perspective
Lewis Aubrey-Johnson Head of Fixed Income Products and Ciaran Mallon UK Equities Fund Manager discuss the UK equity and bond market environment in 2018 and where they are finding investment opportunit...
4th Mar 2019
Invesco | Masterclass: Investment Trust
What is a realistic level for income growth to expect in this investment environment we find ourselves in and what will drive income in coming years?
25th Feb 2019
Invesco | Reshuffling the deck
After a challenging 2018, Fund Manager’s Stephen and Andrew outline the factors which impacted them the most along with their plans for 2019 and new additions to the portfolio.
14th Feb 2019
Invesco | 2019 investment outlook: US equities
We see a tricky year where markets will debate the potential for sustained US growth with the potential for a globally driven US slowdown. Simon Laing, Head of US equities shares his thoughts on the U...
Video: 2019 Investment outlook - European Equities
European equities have been heavily sold, are things that bad? Jeffrey Taylor head of European Equities focuses his outlook on the importance of taking a fundamental long-term approach to European equ...
30th Jan 2019
Invesco | 2019 investment outlook: Asian & emerging markets
2018 has been a challenging year for Asian and global emerging equity markets. The year began with upbeat earnings expectations and valuations above long-term historical averages. However, since the s...
29th Jan 2019
Investment Intelligence Seminars: Round 1
Join Invesco for the first round of the 2019 Investment Intelligence Seminars, as they reflect on what has been a difficult year for most asset classes. Build upon your current knowledge, as they prov...
28th Jan 2019
The Week: Is value back for good?
It is almost a decade since value investing was in the ascendancy, yet the past couple of months have seen a snap-back for the strategy. Can it last?
6th Dec 2018
Invesco | Breaking through the noise
Stephen Anness and Andrew Hall, Global Equities Fund Managers discuss: Factors affecting this quarter’s performance for Invesco Global Opportunities Fund (UK); their case for Bayer; recent macro conce...
8th Nov 2018
Square Mile | Talking With...Nick Mustoe, CIO, Invesco
Nick Mustoe, Chief Investment Officer, Invesco Henley Investment Centre talks being a contrarian investor, multi asset funds and karate with Richard Romer-Lee.
Square Mile Research
24th Oct 2018
Invesco | John Greenwood’s quarterly economic outlook: Q4 2018
With problems in emerging markets continuing to grab headlines and an escalation of the tariff wars between the US and China, how concerned is John about the potential impacts on the global economy?
19th Oct 2018
Video: Emerging markets - confronting the concerns
Emerging Market Equities Senior Analyst Douglas Turnbull discusses some of the key issues that are impacting emerging markets at the moment.
11th Oct 2018
Valuation and its role in investing
24 September 2018
Simon Laing, Head of US Equities, Invesco
It’s hard to have a conversation on the US markets these days without being drawn to a debate on value versus growth.
3rd Oct 2018
Invesco | Emerging markets - confronting the concerns
Emerging Market Equities Senior Analyst Douglas Turnbull discusses some of the key issues that are impacting emerging markets at the moment.
18th Sep 2018
Invesco | Japan - more of the same?
In this video, Head of Japanese Equities Paul Chesson discusses: his outlook for the Japanese economy, efforts taken to simulate the stubbornly low inflation rate, how US Government imposed trade tari...
28th Aug 2018
Invesco | How does the UK equity market look to a value investor?
As a valuation-orientated investor, Martin Walker's investment style brings valuation at the point of purchase to the foreground, as he seeks to find compelling opportunities in areas of the market th...
20th Aug 2018
Invesco | The case for income
Income seeking investors have faced headwinds in the aftermath of the global financial crisis. But with demand for income rising, investors may need to cast their nets wider than some of the more trad...
9th Aug 2018
Invesco | Volatility – an unlikely friend
Stephen and Andrew consider how this quarter’s market developments have impacted their decision-making, including, reasons for continued volatility; global trade as a key driver of economic growth and...
27th Jul 2018
Invesco | John Greenwood's quarterly economic outlook: Q3 2018
Will a trade war undermine economic growth? While it is possible that political issues could hamper the economic upswing in some countries, my view remains that the business cycle is the ultimate and...
20th Jul 2018
Invesco | What impact have recent macro events had on global equity markets?
We have witnessed a fractious G7 meeting, rising trade tensions between the US and China, coupled with the rise of a populist government in Italy and cracks in emerging markets. In this video, Nick Mu...
22nd Jun 2018
Invesco | Mark Barnett: Business as usual?
Head of UK Equities, Mark Barnett, considers recent pessimism towards UK domestic stocks and whether he is changing his strategy after a difficult period of performance.
7th Jun 2018
Invesco | Investing in emerging markets: a political play
Watch two of our most experienced emerging markets investors discuss their outlook for equities and debt and where the risks and opportunities lie.
1st Jun 2018
Invesco | Tactical Bond Fund (update)
Lewis Aubrey-Johnson, Head of Fixed Income Products, explores the structure of the Invesco Perpetual Tactical Bond Fund, how it fits into the strategic bond sector, his attitudes to risk and how this...
10th Apr 2018
Invesco | John Greenwood’s global economic outlook 2018
Invesco Ltd’s Chief Economist outlines his views on developments in global economies and answers questions from the intermediary community.
11th Dec 2017
Invesco | Fixed Income Talking Points (July 2017)
In this interview, Lewis Aubrey-Johnson, Head of Fixed Income Products, answers some of the key questions being asked by our clients.
3rd Aug 2017
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