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Insight

multi asset

Blackboard, Art, Drawing
Article

Seven Deadly Sins of Quantitative Investing Using Machine Learning

Machine learning can be a powerful tool but its application requires special care.

March 14, 2023
Multi-asset, Themes
Investment Matters
Audio

How Can a Different Approach to Equity Investment Address the New Market Regime?

How can a different approach to equity investment seek out opportunities in a radically different market regime?

December 6, 2022
Global equities, Macro views, Multi-asset, Sector research
Is your multi-asset strategy fit for the future?
Article

Is Your Multi-Asset Strategy Fit for the Future?

CEO Euan Munro explains why key boundary conditions make it important to challenge the norms of multi-asset investing.

July 29, 2022
Industry views, Macro views, Multi-asset, Real Return
Streaming to success
Blog

Streaming to Success?

The music industry has returned to growth thanks to the rise of streaming. Can the momentum be maintained?

Connor Middleton
June 23, 2022
Industry views, Multi-asset, Sector research
Real Return outlook
Blog

Positioning for a New Market Regime

With financial markets remaining turbulent, which sectors and asset classes could present opportunities for an unconstrained multi-asset strategy?

Catherine Doyle
June 22, 2022
Multi-asset, Real Return
How Can Dynamic US Equity Navigate Rising Rates?
Article

How Can Dynamic US Equity Navigate Rising Rates?

While the current environment poses challenges, we demonstrate that it may not be unambiguously negative for Dynamic Equity.

June 15, 2022
Macro views, Multi-asset
Newton's Systematic Approach to Predicting US Inflation and Interest Rates: An Update
Article

Newton’s Systematic Approach to Predicting US Inflation and Interest Rates: An Update

What a difference a year makes.

June 13, 2022
Macro views, Multi-asset
Article

Target Date Funds: The Power of the Consensus Glide Path

Our approach seeks an unbiased, consensus view to glide-path construction.

June 9, 2022
Industry views, Multi-asset
Is music streaming an industry friend or foe?
Blog

Is Music Streaming an Industry Friend or Foe?

We assess the evolving market landscape of the music streaming industry.

Paul Flood
December 3, 2021
Industry views, Multi-asset
What’s behind the current energy crisis?
Blog

What’s Behind the Current Energy Crisis?

There’s more than meets the eye in relation to rising gas prices and their effect on the economy.

Paul Flood
October 19, 2021
Multi-asset, Sector research
Episode 20: Space Travel
Audio

The Next Horizon in Space Travel

We explore the many facets of the new space age. What opportunities does the space economy present for…

July 28, 2021
Global equities, Multi-asset, Sector research
Episode 19: Decrypting Cryptocurrency
Audio

Decrypting Cryptocurrency

Is it money? Is it an investment? Is it a fad? We unlock the value behind cryptocurrency.

June 10, 2021
Global equities, Multi-asset, Themes
Episode 18: The Future of Mobility
Audio

The Future of Mobility

Flying cars, jet packs and land speeders? This is what the future of mobility can really look like.

May 10, 2021
Global equities, Multi-asset, Themes
Episode 17: Income Inequality
Audio

Income Inequality and Stimulus

Lower interest rates typically benefit asset holders. What does this mean for the growing gap in income inequality?

April 21, 2021
Global equities, Multi-asset, Responsible investment
No longer glittering
Blog

No Longer Glittering?

With the gold price trending lower in recent months, we assess the outlook for the precious metal.

Catherine Doyle
April 12, 2021
Multi-asset, Real Return, Sector research
Episode 16: Proxy Voting
Audio

Proxy Voting: The Power of the Shareholder

We unpack the power of proxy voting to influence positive outcomes and improve total shareholder return over the…

March 12, 2021
Global equities, Multi-asset, Responsible investment
Episode 15: Robinhood, Reddit and the SEC
Audio

Robinhood, Reddit and the SEC

We dissect the "Reddit trade" with the former Mellon head of trading and the former head of the…

February 23, 2021
Global equities, Multi-asset
Bitcoin
Blog

Bitcoin – Fool’s Gold or Digital Mecca?

With the cryptocurrency increasingly in the spotlight, we consider its role in a multi-asset portfolio.

Catherine Doyle
February 4, 2021
Multi-asset, Real Return, Sector research
Episode 14: Biophysical Economics
Audio

Biophysical Economics

We explore the emerging field of biophysical economics, which considers how the physical laws of nature limit and…

January 28, 2021
Global equities, Multi-asset
Episode 13: Black Friday and Beyond
Audio

Black Friday and Beyond

From curbside pickup to the burgeoning healthy lifestyle industry, we look at consumer trends and changing behaviors in…

November 24, 2020
Global equities, Multi-asset, Sector research
Episode 12: Election Implications
Audio

CIOs Perspectives: Election Implications

We examine potential election implications from the perspectives of our equity, fixed income, and multi-asset CIOs.

October 14, 2020
Fixed income, Global equities, Macro views, Multi-asset
Coal, Covid-19 and the rise of renewables
Blog

Coal, Covid-19 and the Rise of Renewables

What legacy will the dwindling use of coal leave for the energy industry and investors in renewables?

Paul Flood
August 12, 2020
Multi-asset, Sector research, Sustainable
Hidden in Plain Sight
Article

Hidden in Plain Sight

The search for alpha is elusive, but we see a path to excess returns.

February 4, 2020
Multi-asset
QE 4 to the rescue? Not quite…
Blog

QE 4 to the Rescue? Not Quite…

Does recent Federal Reserve activity hint at what lies ahead for US monetary policy?

Brendan Mulhern
December 9, 2019
Macro views, Multi-asset, Real Return, Sector research
Blog

A Liquid Alternative

We consider the role of liquid real assets in a diversified portfolio.

Paul Flood
July 26, 2019
Multi-asset, Sector research
Blog

Fanning an Inflationary Fire?

A global trade war could fuel rising inflation and renewed volatility.

Paul Flood
May 18, 2018
Macro views, Multi-asset
Blog

Much Ado About Nothing

Investment-grade debt has been bolstered by central-bank support, but we see little to get excited about.

Paul Flood
August 23, 2017
Fixed income, Multi-asset
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This is a financial promotion. Issued by Newton Investment Management Limited, The Bank of New York Mellon Centre, 160 Queen Victoria Street, London, EC4V 4LA. Registered in England No. 01371973. Newton Investment Management is authorised and regulated by the Financial Conduct Authority, 12 Endeavour Square, London, E20 1JN and is a subsidiary of The Bank of New York Mellon Corporation. Newton is registered with the SEC as an investment adviser under the Investment Advisers Act of 1940. Newton’s investment business is described in Form ADV, Part 1 and 2, which can be obtained from the SEC.gov website or obtained upon request. Material in this publication is for general information only. The opinions expressed in this document are those of Newton and should not be construed as investment advice or recommendations for any purchase or sale of any specific security or commodity. Certain information contained herein is based on outside sources believed to be reliable, but its accuracy is not guaranteed. You should consult your advisor to determine whether any particular investment strategy is appropriate. This material is for institutional investors only. Past performance is not a guide to future performance. Your capital may be at risk. The value of investments and the income from them can fall as well as rise and investors may not get back the original amount invested. Unless you are notified to the contrary, the products and services mentioned are not insured by the FDIC (or by any governmental entity) and are not guaranteed by or obligations of The Bank of New York or any of its affiliates. The Bank of New York assumes no responsibility for the accuracy or completeness of the above data and disclaims all expressed or implied warranties in connection therewith. © 2006 The Bank of New York Company, Inc. All rights reserved.