ESG and responsible investing
2023 Stewardship Report
Our 2023 Stewardship Report highlights our commitment to sustainable growth and responsible asset management, reinforcing our mission to prioritise long-term value.
Studies and analysis into the themes driving markets and sectors
2023 Stewardship Report
Our 2023 Stewardship Report highlights our commitment to sustainable growth and responsible asset management, reinforcing our mission to prioritise long-term value.
Risk & Reward - 4th issue 2023
Subtle differences in factor definitions can profoundly impact performance, and a crucial decision is whether to rely on a single or multiple factor signals. We present an approach that may help investors improve factor premiums by diversifying across signals and removing exposures to unrewarded risks.
Risk & Reward - 3rd issue 2023
Finance and investment are constantly evolving – and the latest advancements draw on the results achieved in the past. The new edition of Risk & Reward reflects this emergent continuum by reporting on our most recent progress in responsible investing.
Invesco Global Factor Investing Study 2022
Welcome to Invesco’s seventh annual Global Factor Investing Study, incorporating the views of 83 institutional investors and 68 retail investors, collectively responsible for managing $25.4 trillion in assets.
Invesco Global Sovereign Asset Management Study 2022
Our tenth study covers 139 institutions from all over the world, and paints the clearest picture yet of the global state of the market, and what the future of sovereign investors could look like.
China Position 2021: Sustaining institutional interest
Invesco partnered with Economist Impact to understand how institutional investors are investing in China today.
Risk & Reward - 3rd issue 2021
Learn how our quantitative analysts help us deliver strong performance while supporting the ongoing transition to sustainable energy. Read about low volatility and low carbon portfolios, as well as the role of fixed income ETFs.
2nd Global Alternative Finance Benchmarking Study
The Cambridge Centre for Alternative Finance (CCAF) at the University of Cambridge Judge Business School has published its 2nd Global Alternative Finance Market Benchmarking Report, supported by Invesco.
Risk & Reward - 2nd issue 2021
Read about our approach to responsible investing and innovation - from responsible asset allocation and climate change to machine learning and factor investing.
Taking stock of the green rush
Investors are focusing too much on certain sustainability areas, without paying attention to the broader—or even counterproductive—effects.
Risk & Reward - 1st issue 2021
As with all things new, factor investing in China holds a special appeal. Other articles in this issue address fixed income investing in times of low market yields, real estate sector investing, the merits of estimating the covariance matrix and how to capture multi-asset class factor premia.
Short-term investment outlook-November Update
This white paper addresses our short-term investment views based on our forward-looking global macro framework.