Publications

My Switzerland

Global growth will continue to slow, but will remain above its long-run potential rate in late 2021 and early 2022.

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Views and Analysis

Beyond net zero: meeting the challenge of COP 26 by understanding adaptation, attribution and science

As the UK prepares to host the COP 26 UN conference on climate change, Mirabaud Asset Management’s Head of UK Equities David Kneale reviews the additional measures investors must take to integrate the challenges of climate change.

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Views and Analysis

Do markets face an autumn surprise?

Mirabaud Asset Management’s Head of Fixed Income Andrew Lake gives his review of the situation as we head into the fourth quarter

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Views and Analysis

What’s the investment case for Germany?

As Germany changes its political leadership, Mirabaud Asset Management’s Hywel Franklin and Trevor Fitzgerald take stock of the country’s investment outlook.

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Publications

Publications

Views and Analysis

Does ESG drive sustainable dividends?

We believe there is an increasingly clear relationship between companies’ approaches to managing ESG risks and the long-term sustainability of their dividend distributions. Paul Middleton, Portfolio Manager on Mirabaud’s Sustainable Global High Dividend Fund, explores this relationship.

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Press Releases

Mirabaud bolster their team in London with the appointment of head of UK wholesale and the arrival of two experienced investment professionals

London, 21 september 2021 – Mirabaud Asset Management – the investment arm of the Mirabaud Group, an independent wealth and asset management group established in 1819 – has strengthened its UK relationship management team with the addition of Benjamin Carter as head of UK wholesale. Mirabaud also welcomes Michael Wang, and Elena Bignami to the company. Wang joins their Global Emerging Market (GEM) Equities team as a Senior Analyst / Deputy Portfolio Manager, working under the leadership of Charles Walsh on both the GEM and Asian ex-Japan Equities strategies, and Bignami joins the Responsible Investment team as an ESG analyst.

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Views and Analysis

Seeking the signal and ignoring the noise: the importance of a defined thematic strategy

Mirabaud’s Anu Narula takes stock after an unusual summer for equity markets.

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Views and Analysis

Big brother takes a tumble? China’s turbulent year continues

2021 has seen an uptick in the Chinese government making market-moving political interventions. Are these the symptoms of an overconfident regime, or is the Communist Party laying the foundations for a decade of continued growth – and what does this mean for emerging market bond funds?

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Publications

Publications

Views and Analysis

As the IPCC publishes gloomy report, this is the route to net zero

Rain in London in August, wildfires in Greece and Italy, floods in Bangladesh: can anyone still really deny that global warming is at a crisis point? The role of human influence on the climate system is undisputed. That’s the stark message from the IPCC report on climate change published earlier this week.

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Views and Analysis

EasyJet: a Global Climate Bond framework case study

Examining how Mirabaud Asset Management’s Climate Bond team evaluates bond issuers’ climate policies

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Videos

Global Focus Fund - Recap of Fund Traits

Anu Narula, recaps on key drivers for the Global Focus strategy as we move into the second half of 2021.

Press Releases

MIRABAUD LIFESTYLE VEHICLE COMPLETES FIRST INVESTMENTS AS FUNDRAISING CONTINUES

Paris 29 July 2021 – Mirabaud Asset Management – the investment arm of the Mirabaud Group, an independent wealth and asset management group established in 1819 – has made the first investments within its Mirabaud Lifestyle Impact & Innovation private equity vehicle.

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Publications

Publications

Press Releases

Haussmann wins a HFM European Performance Award

July/August 2021, Mirabaud Asset Management’s long running Fund of Hedge Fund strategy, Haussmann, has received the HFM Award as the Best Fund of Hedge Funds Long-Term Performance 5 years.

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Views and Analysis

The rising risk of inflation: Is it real?

We asked our investment collective for their views on longer-term inflationary risks. What’s clear is that this environment will most likely suit nimble investors that can make active, high conviction decisions as they navigate the road ahead.

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