The economic bounce-back from covid came quickly, says Randy Schwimmer of Churchill Asset Management, which caused inflation to be on everyone’s minds.
1 min read · 04 October 2021
Economic recovery has seen inflationary concerns return for the first time in more than a decade, meaning managers must prepare for future risks. But opinion is divided, with some believing deflation is a bigger long-term concern. By John Bakie and Robin Blumenthal
10 min read · 01 October 2021
We gather thoughts from some of the industry’s biggest private equity players on how they plan to deal with expected rising costs and inflation’s impact on performance and fundraising.
6 min read · 16 June 2021
An increase in interest rates in the near term would have a ‘positive impact’ on the asset manager’s business, according to chief executive and CIO Benoît Durteste.
3 min read · 08 June 2021
‘We shouldn’t be afraid of inflation or volatility because it does create opportunities,’ Denise Le Gal, chair of Brunel Pension Partnership, said at PEI’s Women in Private Markets Networking Day.
3 min read · 24 May 2021
Historically, real estate has performed well when prices rise, but the pandemic era raises unique questions and challenges.
3 min read · 19 May 2021
Buyouts spoke with several GPs about how they are factoring potential inflation into their existing portfolios and into future deals.
6 min read · 06 May 2021
The alternatives asset manager had one of its strongest quarters, with total AUM rising 21% year-on-year to $649bn.
2 min read · 26 April 2021