Invesco is an independent investment management firm dedicated to delivering an investment experience that helps people get more out of life.
Over the years Invesco has grown to become one of the UK’s leading independent asset managers, offering institutions diversified strategies and solutions spanning equities, fixed income, multi asset, real estate, private equity and other alternatives.
We’re recognised for providing specialist investment expertise and insight across an ever-widening range of investment capabilities, supporting local authority and corporate pension schemes, insurance companies and other UK institutions.
While clients choose Invesco for many reasons, our high conviction style, passion to exceed and commitment to providing a superior investment experience underpins everything we do.
And as part of Invesco Ltd. we have the global capability needed to deliver our best ideas to investors around the world, drawing upon the talent of our portfolio managers, analysts and researchers across Europe, North America and Asia-Pacific supported by client service teams in over 20 countries.1
1 As at 31 December 2016
The content of this page is for Professional Clients only and is not for consumer use.
Issued by Invesco Asset Management Limited, Perpetual Park, Perpetual Park Drive, Henley-on-Thames, Oxfordshire, RG9 1HH, United Kingdom. Authorised and regulated by the Financial Conduct Authority
More From Invesco
Found 19 resources
In this whitepaper we investigate into the histories of factors and ESG respectively; we explore how their stories have more recently become entwined; and we demonstrate the benefits of an investment philosophy that takes proper and rigorous account of both.
This booklet consists of a series of papers written by several Invesco experts on factor investing approaches.
Our factor investing study offers unique insights into the growth of factor investing via over 100 in-depth face-to-face interviews with consultants, pension funds, insurers, sovereign investors and private banks globally.
This issue examines multi-asset multi-factor investing, the theoretical and behavioural underpinnings of low-volatility investing.
This white paper, we will focus specifically on how option structures may efficiently allow us to participate in an upside market move, and can also protect an investment without being cost prohibitive.
What is the likelihood that the US Congress will pass the legislation to raise the debt ceiling and what will be the implications for short-term debt markets? In this whitepaper, the Invesco Fixed Income Team share their insights surrounding these questions.
The paper provides insight into how factor investing differs between equity and fixed income, the unique challenges to implementing fixed income factors in portfolios and how Invesco Fixed Income approaches factor investing.
In this whitepaper Invesco discusses how proxy voting offers arguably the best challenge that institutions face in putting responsible investing principles into practice.
In this Whitepaper we consider the different approaches to ESG taken in the investment industry, the evidence of the impact of adopting ESG criteria on investment performance and Invesco's emphasis on Responsible Investing.
With the US Federal Reserve (Fed) gradually normalising interest rates, the US economy appears to be in good shape. Can President Trump take any of the credit? What are the main risks for the economy and when will the Fed start shrinking its balance sheet?