Latest updates for Asset Performance
Fresh curated links around Asset Performance are collected here so marketers can spot useful updates and turn timely ideas into posts faster.
Recent items include:
- Major Asset Classes: June 2026 Performance Review
- Evaluate your investment returns with the performance report
- ABF: Know your assets
Post angles to try
Fresh articles and ideas
Recent curated links from global sources. Generate one free draft from any story, then use SocialBu to schedule and refine your content calendar.
Evaluate your investment returns with the performance report
One of Sharesight’s most popular reports, the performance report gives you the full picture of your portfolio’s returns over any chosen period. Unlike most brokers, Sharesight show...
ABF: Know your assets
Asset-backed finance has been feted as the largest growth engine for private credit, but which areas within the asset class are looking most attractive? Aysha Gilmore reports… Asse...
Impax Asset Management plans systematic equities fund launch amid 'strong' performance
Impax Asset Management saw its assets under management reach £23.3bn in Q2 2026, a 4.4% increase from the previous quarter.
Asset Allocation Outlook Q3 2026: Staying Pro-Risk In A Broadening AI Cycle
BOND: An Intermediate Active Fixed Income Allocation In A Relatively Attractive Environment
Impax Asset Management revenue and AUM fall despite performance
Impax Asset Management held assets under management (AUM) of £22.3bn at the end of H1 2026, down from £25.3bn year-on-year.
Ares Management guides Q2 realized net performance income above $50M
Process before performance
Most fund managers rely on gut and discretion. NJ AMC runs a six-step process from data validation to portfolio construction to keep bias and inconsistency out.
Is Your SIP Portfolio Actually Performing Well? A Simple Way to Check
Your app's profit number isn't your annual return. Learn the 3-step XIRR benchmark check that tells you whether your SIP is actually performing – or quietly falling behind.
PYLD: An Active Intermediate-Duration Allocation For Uncertain Market Environments
Wealth Takeaways from Alts Earning Season
Public alternative asset managers sought to ease concerns about redemptions tied to semiliquid private credit funds while highlighting continued fundraising and strong operational...
Catastrophe Bonds: An Uncorrelated Asset Class Amid Global Macroeconomic Uncertainty
Aberdeen pivots to infrastructure and short-dated bonds in MyFolio rebalance
Aberdeen Investments has pivoted to infrastructure, global real estate investment trusts (REITs) and short-dated bonds in its latest MyFolio strategic asset allocation update, Inve...
The Full Picture: How Factors Work Together In Systematic Fixed Income
The balance sheet grew. Did the business?
Six large companies more than tripled their net block in three years. But leases and acquisitions can inflate assets without adding profit. We unpack three.
Rethinking portfolio construction with the evolving economy
We need to look for investment strategies that can effectively respond to changes, manage risks, and take advantage of opportunities across various asset classes. The concept of ac...
Stronger decorrelation from equities boosts 'HALO' trade and appetite for infrastructure
In a period where equity and bond markets have become more volatile and increasingly correlated, real assets are demonstrating renewed value as a diversifier.
RDVI: Targeting A Positive Income Outcome With Capital Appreciation
IGBH: Solid Rate-Hedged Investment-Grade Bond ETF, Continued Outperformance
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