Invesco Global Factor Investing Study 2019
Discover the views of 241 wholesale and institutional factor investors, in the largest and most in-depth examination of global factor investing currently being undertaken.
Invesco has a long-established reputation working with pension funds, providing differentiated investment strategies across equities, fixed income, multi asset, real estate, alternatives and liability-driven solutions.
While many global corporate pension schemes have sought to de-risk and diversify to address their funding obligations, heightened economic and geopolitical uncertainty represents a continuing headwind. Through an open, partnership approach, we bring the expertise and resources of Invesco’s global organisation to help pension schemes achieve their investment objectives.
Managed by Invesco worldwide.*
Across asset classes, strategies and customised solutions
Creating open and supportive partnerships, customised to client needs
Using factors for potential return enhancement
We believe factor investing can become a permanent and valuable tool in helping to achieve long-term investment results. In this paper we explore what factors are, how they work, and how they may be successfully positioned in portfolios to pursue specific return profiles.
Risk & Reward Issue #2 2019
Read our 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 shift toward a consumption-driven economy.
Taking a cashflow-conscious approach
Invesco’s commitment to sound investment stewardship
In our latest Investment Stewardship & Proxy Voting Annual Report, we highlight our commitment to responsible investing and how we seek to generate both financial and sustainable value for our clients.