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We’ve recently enhanced our dedicated green bond framework methodology to consider learnings and insights from the explosion of issuance since our framework launched in 2020.
This position paper explains our views on the Partnership for Carbon Accounting Financials' proposed new approach to account for green bond emissions.
This paper reflects the views within our submission to the European Commission's targeted consultation on the functioning of the EU securitisation framework.
This report shares how our Sovereign Impact Rating framework addresses some of the key challenges when assessing ESG impact performance for sovereigns.
This installment of our Emerging Market Debt series takes a sequential approach to providing our perspective on achieving optimal EMD exposure.
Following years of underperformance, we explore five structural factors that should support the emerging markets over the next five years and possibly beyond.
We explore why carbon footprint alone will not suffice for investors that want to support decarbonisation and begin to offer outlines of an alternative.
Our research series reveals that a varied adjustment process across certain sectors lowered the broader economy’s sensitivity to interest rates.
We explore the type of inflationary environment that we might expect across developed markets in the future and its potential effect on global asset prices.
Inordinate plastic packaging waste but limited alternatives highlights the distinction between sustainable management of ESG impacts and financial credit risks.
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