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"Art on Climate" International Illustration Competition | AllianzGI
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AllianzGI Sustainability Report 2021
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World Oceans Day
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Investable themes
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Why now is the time to reconsider China | AllianzGI
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China insights
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Following recent volatility, will China’s markets roar again in the Year of the Tiger?
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Why it’s just the beginning for China’s RMB bond market
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Nine themes for investing in China’s transformation
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Using AI to discover Asia’s environmental leaders
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7 reasons to stay invested in China equities
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9 things to know about China’s bond markets
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“Year of the Ox” symbolises China’s strong future
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China reaches for the STAR market
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How a new trading bloc signals a gravitational shift eastward
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Growth in China set to outlast the pandemic and trade wars
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China is positioned to lead Asia’s economic recovery from the coronavirus
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As China recovers from the coronavirus, what’s next for Chinese stocks?
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China’s return to growth should help equities and corporate credit in North Asia
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The time is right to use China A-shares to optimize equity allocations
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5 principles for a successful China investment strategy
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#1 Foreign investors have multiple entry points into China's equity markets
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#2 China’s retail investors trade A-shares frequently, creating high liquidity and pricing discrepancies
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#3 Investing in China demands a dynamic, active approach to risk management
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#4 China has room for improvement on ESG, but there are signs of positive change
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#5 Our research shows a small shift into A‑shares may help improve risk/return profiles
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Thanks
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Invest for tomorrow by navigating rising rates and inflation | AllianzGI
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Insights
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Investment T\themes & strategy
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How will private debt be changed by Covid-19?
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A shared vision is vital for a sustainable recovery
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Why the coming months are critical to a decisive green transition
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Investing for a sustainable future
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Impact investments are the future
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An ESG framework for EM sovereign bonds
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Being a rational optimist
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Capital market implications 2019/2020
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Insights and actions from our Frankfurt 2019 Investment Forum
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Global Asset Management Colloquium 2019: focus on artificial intelligence and new media
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Is momentum-driven investing dead?
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Conclusions and themes from our Hong Kong Investment Forum
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How do you identify winners using Artificial Intelligence?
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Brexit isn’t significantly impacting Europeans’ travel plans
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Impact Investments – a new philosophy of investing
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Are we running out of policy options for the next crisis?
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Consistent trends in smartphone demand
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Sustainable Finance in Europe – Quo Vadis?
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How to invest in a time of rate cuts and trade wars
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Motion graphic: insights and actions from our Frankfurt Investment Forum
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Do higher wages for workers mean lower returns for investors?
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Adjusting to a lower-for-longer rate environment
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Active is: defining quality
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How do ESG factors impact portfolio performance?
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Consumers in China drive domestic-brand car sales to the detriment of JVs
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Corporate travel spending continues unabated in the US
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Demand for business jet travel could encounter economic headwinds
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The opportunities within disruption
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UK consumers continue to travel abroad
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Four compelling reasons to consider Asian bonds
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Low rates are back, so where do you turn in fixed income?
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Active is: Accelerating economic growth through sustainability
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Amid low returns from “safe” bonds, look to Asian risk assets
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Emerging markets look strong in 2019
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Should we fear an inverted yield curve?
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What’s next for India’s “improbable” democracy?
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Clean water - priceless and cheap at the same time
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No big changes for corn and soybean planting in Brazil
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How can you invest at the end of the cycle?
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Cruise bookings trend positively in the US and much of Europe
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Sales of e-bikes surge in Europe for sports, leisure and even short commutes
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What a US-China trade deal could mean for investors
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To gauge an economy’s health, watch the “financial cycle”
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Financial advisors do not view robo-advisors as competition
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Pet insurance is big business in the US
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Climate change must change investors’ portfolios
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How long will the US government stay open?
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New regulations drag down Stockholm real estate sales
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What could happen in a US-China “tech cold war”?
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Why China is an asset class in its own right
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For European equities, winter won’t last forever
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Infographic: 6 takeaways from our London Investment Forum
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Selectivity may pay off in Latin American infrastructure debt
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What investors need to know as Brexit nears
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Enabling access to markets can help reduce inequality
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The bull market is losing steam
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Price is the key incentive for online brokerage customers to switch firms
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Sentiment regarding the UK economy is mixed as Brexit looms
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The key to infrastructure equity is hands-on, active management
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What the drop in Turkey’s lira means for consumer spending
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6 takeaways from our Hong Kong investment forum
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6 takeaways from our London Investment Forum
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Central banks can make inequality worse
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Tackle inequality by transforming the tax system
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High petrol prices are changing consumer spending habits
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Will US yields break out of their range?
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Emerging-market consumers show growing optimism
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ESG is going mainstream because it’s business-critical
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Brexit blues: Survey shows rising UK consumer concerns
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ESG – “plus” for sustainability, “plus” for performance?
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Building the case for green bonds
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Four industry trends are arguments in favour of active asset management
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The US economy remains strong, but tail risks are rising
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Beyond the bitcoin bubble, the benefits of blockchain
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Water: an essential and investable asset
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From TPP to USA: 7 stages of economic integration
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Innovation is an inconsistent booster of equity returns
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IT spending is rising – and AI could benefit
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US companies expect to spend more on travel
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Who will be ensnared first by new EU data-protection rules?
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How to be a risk leader, not a follower
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Beyond the Statue-Why Board Diversity is Important
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Big tech must pitch in on social infrastructure
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2017 RiskMonitor: Geopolitical Concerns Create Risk-Return Conundrum for Investors
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The Risks of Relying on an Inaccurate Inflation Measure
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ESG: What’s really in the portfolio?
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Three factors skewing valuation models
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Dividend strategies drawing increased attention
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Will Europe Feel the Force of ‘Trumponomics‘?
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10 Key Facts about China A-Shares
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Investment Forum focus: central banks, china and disruptive change
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Investment Forum insights: short-termism, risk-aversion among today's top risks
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Insights and actions from our Frankfurt 2019 Investment Forum
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Investment Forum
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2017 RiskMonitor: Geopolitical concerns create risk-return conundrum for investors
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How risk leaders navigate the risk-return conundrum
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2017 RiskMonitor: Geopolitical concerns create risk-return conundrum for investors
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Staying active: how active managers can restore trust | New risks
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Staying active: how active managers can restore trust | ESG solutions
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Staying active: how active managers can restore trust | Exploring alternatives
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Staying active: how active managers can restore trust | Tech innovation
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Staying active: how active managers can restore trust | Delivering value
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Staying active: how active managers can restore trust | A partnership roadmap
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Allianz Global Investors Academy
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The Investment Intelligence Podcast
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Covid-19 pandemic: Stress, spreads, and opportunities in infrastructure debt
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What Covid-19 means for investing in emerging markets equities
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What’s next for global high-yield and “Fallen Angels”?
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Why this time is *not* different for US small cap stocks
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Tail-risk management in times of Covid-19
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What’s ahead for Sustainable Investing?
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A sustainable way to assess EM debt risk
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Are European stocks poised for a rebound?
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Will the post-pandemic bounce last?
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How to manage climate risk in your portfolio?
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Which key technology trends should investors focus on next?
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Is there any yield left for fixed-income investors globally?
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Is the time right for Convertible Bonds?
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Is your fixed-income portfolio set up to reach its full potential?
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What’s the secret of Taiwan equities’ performance in 2020?
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The US has voted: What’s next for investors now?
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Is your portfolio (artificially) intelligent?
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What’s in store for your portfolio in 2021?
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How will President Biden’s spending plans impact infrastructure investing?
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Should your China-equity allocation be separate from your emerging-market portfolio?
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Should investors be worried about inflation?
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Investing across asset classes in the age of stimulus
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How do you invest in water?
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How Sustainability will reshape the investment landscape
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The US inflation conundrum and opportunities in clean energy
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What does faster global growth mean to your portfolio?
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How can a supermarket chain help you invest sustainably?
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What are the Fed’s options to normalize policy, and what do they mean to fixed-income investors?
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How will new EU climate targets impact sustainable investing?
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What’s ahead for portfolios after China’s crackdown on tech?
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What does the US infrastructure spending plan mean for investors?
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Is inflation really here to stay?
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Are we entering a golden age for technology investing?
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What’s next for emerging markets post pandemic?
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The pervasive power of Artificial Intelligence
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Our 2022 Outlook through Four Investable Themes
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An on-the-ground look at China’s investment landscape
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Is your portfolio ready for the age of Digital Darwinism?
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Investing for impact on the road to Net Zero
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Investing in Water for Impact
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Investing in non-US stocks amid rising geopolitical risk
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Green bond investing in times of rising oil prices
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What’s next for the Fed and the high-yield bond market?
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Is your portfolio ready for cyber warfare?
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Should investors be optimistic about emerging markets?
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Outlook & commentary
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Unlocking the “S” in capitalism
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Digital Darwinism: the new disruption
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From bridges to broadband: building opportunities in infrastructure debt
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May 2022 market comment
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Supply chain snapshot: uncovering opportunities despite disruption
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Finding value in a world of waste
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Inflation is back and so is momentum investing
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Unpacking opportunities from supply chain innovation
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Mid-year outlook: cooling or freezing?
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China equities checklist: 8 reasons to stay invested
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As commodity investing gains momentum, industrial metals may offer better opportunity
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The crisis on our plates: finding potential in failing food systems
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Glimmers of light: reasons for emerging-markets optimism
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Inflation cheat sheet: How to invest when inflation is high
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Look for active opportunities following the Fed’s hawkish move
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Diversity comes of age as an investment theme
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Is it time to revisit the UK as an asset class?
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In the fight against inflation, consider these sectors and styles
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Our investment outlook amid Ukraine uncertainty
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Back to basics for the Fed
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Two bond market ideas to help guard against rising inflation
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Investment lessons from 13 geopolitical crises
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Investors can pounce on Chinese equity market opportunities in the Year of the Tiger
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Ukraine: investors should prioritise caution
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April 2022 market comment
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January 2022 market comment
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Unwrapping the potential of sustainable packaging
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Carbon offsets: debate to define role in net zero
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2022 outlook
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Addressing executive pay in the US technology sector
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Water investments
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How investors can guard against lasting inflation
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Oil & gas majors: active stewardship rather than divestment
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Achieving best practice through engagement
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Beyond climate: it’s time to integrate biodiversity into investment processes
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Inflation: beyond transitory
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Federal Elections 2021 in Germany
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Are all net-zero goals created equal?
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Impact investing: the third dimension
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Water investments
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How private markets can help navigate rising inflation expectations
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An inflection point for sustainable investing
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Why it pays to stay agile in an age of low interest rates
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Land-based Aquaculture: The Answer to Fish- Farming’s Existential Crisis?
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Preparing for the reference rate change
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AllianzGI’s investable themes: China, sustainability, low yields
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Asian high-yield bonds look increasingly attractive
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Expect US market momentum to continue – but watch for inflation
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Brexit done, Covid continues: what’s next for the UK?
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Managing portfolio volatility
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China reaches for the STAR market
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How a new trading bloc signals a gravitational shift eastward
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2021 outlook: portfolios need a broader mix as the pandemic prolongs the uncertainty
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US election: commentary and implications
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A Biden victory and split Congress may be welcomed by markets
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US election reaction: closer than expected race has jolted markets
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US elections: race is far tighter than expected – again
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US dollar’s structural weakness could benefit Asian emerging markets
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US elections Q&A: investors can find an advantage in volatility
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Four themes that make the European Green Deal an opportunity for investors
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3 policy differences for investors to watch in the US presidential race
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China’s return to growth should help equities and corporate credit in North Asia
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3 ideas for investors seeking diversification and growth potential
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Two ways credit can add relative value as the cycle turns
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ECB likely to stay the course, despite uncertainties
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Tackling gender diversity in Japan
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Cyber security: handling data with care
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Will the US risk rally endure – and can cyclicals continue to lead?
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Growth in China set to outlast the pandemic and trade wars
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20 years into the 21st century, here’s what investors need to know
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Fed is set to hold steady, which could surprise markets
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What US-Iran tensions mean for investors
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A manifesto for Europe
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Do US-China trade tensions signal an end to globalisation?
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Proxy voting record highlights AllianzGI’s commitment to being an active, engaged investor
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Our 2020 vision: sustainable strategies may offer a path through volatile markets
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Five focus areas for 2020
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2019 regional outlooks
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Investment implications
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As investor interest in impact investing grows, beware “impact washing”
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Brexit - going through the motions
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Is the ECB using a misguided inflation measure?
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Facing growing geopolitical risks, Fed will likely cut rates
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The unintended consequences of saving the world from the financial crisis
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The ECB is getting its tools ready
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Equity market setbacks are normal
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A major about-turn for the Fed
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Bond investors should expect continued low yields and low returns
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UK: still no reason for optimism?
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Are trade headlines hiding a ‘tech cold war’?
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The ECB is ready to take action
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Will Fed easing support risk assets?
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Balancing exercise mandatory for the Fed
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At the mid-year point, dark clouds are forming in the US
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EMU reform must go further to be effective
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Trump turns the tables on trade
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Could public pressure turn FANG firms toothless?
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European election results provide relief – for now
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Beware inflation, which lurks before it spikes
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How to repair economic inequality
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The ECB's monetary-easing policy is here to stay
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The ECB is a long way from normalising monetary policy
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Inflation expectations support holding rates steady – for now
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What’s fuelling the growing appetite for Asian bonds?
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March Madness? The stock market’s Cinderella story
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Given economic uncertainty, ECB may stay accommodative
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A confident ECB wants to keep its options open
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Are European equities overlooked?
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How will this economic Goldilocks story end?
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Booming US economy provides support for the Fed’s approach
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To reduce inequality, focus on inclusive growth
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Caution and flexibility: a new “behind the curve” strategy for the Fed
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Could the US dollar lose its reserve-currency status?
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A region on the rise: key conclusions from our Asia Conference
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Europe’s economic slowdown makes the proposed normalisation of ECB monetary policy harder
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Volatile markets and politics won’t change the Fed’s path
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A confident ECB wants to keep its options open
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With mid-terms over, markets may feel relief
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Politics are driving the BoE's decisions
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Should you “sell in May and go away”?
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Survey of US Consumers Sheds Light on ‘Generation Z’
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3 key themes to shape the remainder of the year
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Our authors
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Our Capabilities
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Press centre
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Social media
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Press Releases
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AllianzGI Infrastructure Debt platform reaches EUR 20 bn milestone
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Allianz Global Investors completes acquisition of PT RHB Asset Management Indonesia
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AllianzGI partners with International Green Gown Awards
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AllianzGI creates unit dedicated to private markets impact investments
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European dividend payouts expected to reach record highs in 2022
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EIB and AllianzGI support climate action projects in emerging and developing countries
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AllianzGI joins the One Planet Asset Managers Initiative
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Allianz´s first global private debt fund holds first close at EUR 500mn
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Gerold Koch joins AllianzGI as Head of Sustainable Investment Advice
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AllianzGI appoints Michael Heldmann as CIO Systematic Equity
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Allianz Global Investors signs agreement to acquire PT RHB Asset Management Indonesia
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Press Releases
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AllianzGI announces succession plan for US Income & Growth Strategies team
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AllianzGI ramps up exclusion policy with coal restrictions
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AllianzGI appoints new Global CIO Equity
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Infrastructure Debt: 2019 Round-up
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Artificial Intelligence (AI): From trend to global growth driver in three years
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Allianz Global Investors closes its largest infrastructure debt investment in the US
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Allianz has more than 100 wind and solar parks with its first investments in Poland
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AllianzGI voting at AGMs underscores disparity in governance standards
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Planned leadership changes at AllianzGI
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India toll road investment
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Andreas Fruschki to lead AllianzGI’s newly created Thematic Equity Team
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AllianzGI and Virtus Investment Partners Announce Strategic Partnership in U.S. Retail Market
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AllianzGI creates integrated, global set-up for fixed income
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AllianzGI and Societe Generale set up innovative financing for the Paris-Sud University campus
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AllianzGI appoints new Global CIO for Multi Asset
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AllianzGI receives highest possible ESG Strategy & Governance score from PRI for third year in a row
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Thames Tideway Tunnel receives backing from UK investors
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Climate transition at the heart of AllianzGI’s engagement priorities for 2021
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AllianzGI Hackathon in Hong Kong looks for artificial intelligence solutions to unlock asset value for clients
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New hire to make impact in AllianzGI’s sustainable investing drive
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AllianzGI reports strong growth in sustainable assets
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Allianz Global Investors acquires US solar farm
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AllianzGI accelerates its sustainable investment drive
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AllianzGI evolves global Sustainable Investment team
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AllianzGI receives highest possible ESG Strategy & Governance score from PRI for fourth year in a row
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AllianzGI voting at AGMs shines light on gap in governance standards
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ESG engagement at AllianzGI continues to grow
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AllianzGI comments on takeover bid for OSRAM
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AllianzGI joins the Net Zero Asset Managers Initiative
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Avoid ESG tail risks to help generate alpha, new research shows
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AllianzGI achieves highest possible score for ESG Strategy & Governance from PRI
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AllianzGI expands Fixed Income capability with addition of US team
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AllianzGI completes acquisition of Rogge Global Partners
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