Charter School Investing: Not as Easy as A-B-C. Our municipal bonds experts examine opportunities and risks in the charter school sector, which are best addressed by diligent professional research. You also might decide against this option if you visit the MFS site from work and others have access to your computer. Find out in the MFS Institutional Investor Compass Survey. MFS is pleased to present our Long-Term Capital Market Expectations for 2020. Market Insight: Should Machines Be Blamed for Spiking Volatility? Investing Through the Cycle: How Stocks Have Reacted After Bear Markets. 5G technology has wide applications, but how will companies have the ability to leverage 5G? The MFS Investment Solutions Group presents a historical perspective on earnings in relation to global equity returns. Get the latest on global markets and economies as well as what's top of mind for our thought leaders. An analysis of the historical relationship between the macro environment and credit spreads. Rob Almeida and Erik Weisman analyze the potential depth of the coronarvirus impact in this special market insight. Sector Spotlight: Technology Sector and Cloud Play. MFS Investment Management – London, England. Across the globe, fixed income investors are increasingly interested in environmental, social and governance (ESG) issues. There will inevitably be more defaults and greater dispersion in enterprise value. Pete Delaney shared views on the opportunity for active strategies in DC plans. Even Amidst Social Distancing, No One Is an Island. 115 reviews from MFS Investment Management employees about MFS Investment Management culture, salaries, benefits, work-life balance, management, job security, and more. We provide our view of climate change and its likely impact on the investment landscape over the next decade as well as how we consider and evaluate climate issues within our investment process. In this case study, we discuss the problem of plastic waste, a significant issue that is likely to become even more important in the years ahead. Technological advances have led to enormous change and growth opportunities worldwide. MFS Institutional Investor Compass Survey - Risk, Investors Are Right to Welcome a European Recovery Fund. MFS fixed-income experts share their views on the current state of the sovereign debt markets and discuss considerations for the next year. … Rob Almeida and Erik Weisman analyze the impact of machines on volatility in this special Market Insight. Learn how we try to understand all aspects of creative disruption. MFS is a large business, and that isn't for everyone, but management work hard to make sure that employees feel valued and engaged. Opportunities for US Investors in Global Bonds. Free Falling: The Market's Race to the Bottom. Factor Dynamics Through the Cycle (Summary). Equity analyst Nicholas Demko explores how the COVID-19 pandemic has influenced the healthcare sector and discusses the implications for the financial markets going forward. Looking at Equity Markets Through an Earnings Lens. An Overview: Value, Momentum and Mean Reversion in Factor Returns. In this investment summary, we detail the current potential opportunity in high yield bonds, particularly for active managers with the ability to make prudent security selection decisions. MFS Investment Management New London HQ MFS, a 90-year-old global asset manager with investment offices across the world, needed a solution in the UK that coupled contemporary style with … The pandemic requires assessing the Covid impact in the context of secular trends, as well as identifying idiosyncratic security-specific factors. The Opportunity for Active in Defined Contribution Plans. Insights on the MFS Quantitative Equity Research Process. The Curious Case of Negative Interest Rates, Interest rates are falling to zero and beyond, Value, Momentum and Mean Reversion in Factor Returns. In this ESG in Depth, we discuss the impact of the Gig Economy and changing regulation on workers and the platforms that employ them. Despite increasing prevalence and assets among defined contribution (DC) plans, there are stillmany misconceptions regarding collective investment trusts (CITs). Identifying Opportunities with Quantitative Research. Erik Weisman and Rob Almeida discuss what the US economy and financial markets might look like post-crisis in their latest Market Insight. Very big focus on team work and collaboration. We analyze the long-term durability of the stock market following periods of significant drawdowns. Nick Paul advocates for the de-labeling of financial assets, rather than over-prescribed categories or style-box labels, by focusing on materiality. ESG in Depth: Sustainable Packaging: Risks to the Plastic Value Chain. MFS equity experts analyze the current value and growth investing landscape and offer an alternate, forward-looking perspective for investors engaged in the growth-value discussion. US Taxable Municipal Bonds: A High-Quality Asset Class. Facilitate and coordinate the preparation of the firm's ICAAP in consultation with the MFS Enterprise Risk Management team and MIL UK Finance function. Vishal Hindocha and Dan Popielarski explain the role of active management when investing in, and engaging with, companies. This paper explores the ever-shifting global equity opportunity set and examines asset allocation and implementation considerations for investors. This paper addresses common misconceptions about active versus passive and offers a reality check for fiduciaries to consider when choosing investments. Erik Weisman and Rob Almeida discuss potential scenarios for the global financial markets as the world works through the effects of COVID-19. Lead the development of MFS's collateral for an enhanced client dialog and engagement model by working closely with both client facing and investment management teams. The MFS Quantitative Solutions Team discusses how investment factors have proven consistent in illuminating investment returns. The Investment Solutions Group discusses the probability of a US recession over the next year. This paper examines the recent liquidity issues and dislocation in the municipal bond market, in addition to the current dynamics in some of the municipal sectors. At MFS the Equity Research Associate Program is designed to allow associates to become fully immersed in the investment management world of stock picking. Investing Through the Cycle: How Stocks Have Reacted After Bear Markets. The latest market downturn was the fastest in history. Why Go Global Fixed Income? Regardless of what computer you are using, NOT clicking the box is the more secure choice for you to make. Regardless of what computer you are using, NOT clicking the box is the more secure choice for you to make. Even Amidst Social Distancing, No One Is an Island. Free Falling: The Market's Race to the Bottom. Market Insight: Should Machines Be Blamed for Spiking Volatility? Please click "Accept" if you're ok with this. In its third edition and with an introductory message from MFS President Carol Geremia, this report provides a comprehensive review of MFS’ sustainable investing activities for calendar year 2019. The MFS Investment Solutions Group focuses on the potential opportunity in mid-cap equities in this Investment Insight. Get the latest on global markets and economies as well as what's top of mind for our thought leaders. Rob Almeida and Erik Weisman analyze the potential effectiveness of unprecedented fiscal stimulus. Fixed Income: The Resilience of Emerging Markets Debt. We dissect the advantages of a strategic allocation to the real estate sector and the related transparency, liquidity and accessiblity offered by REITs. We analyze the historical relationship between economic recessions and a president's reelection bid. In the current context of challenged growth and rising corporate debt, security selection in credit matters more than ever. Cancel Accept Do not save my selection Accept Save my selection An analysis of the historical relationship between the macro environment and credit spreads. In this investment summary, Noah Rumpf provides insight on the MFS Quantitative Equity Research process. Freeze Frame: A Look Back at the Impact of Earnings on Global Equity Returns. Explore resources to help educate on investing basics, How Stocks Have Reacted After Bear Markets, The Changing Landscape of the Large- and Mid-Cap Growth Asset Classes, Creative Disruption: 5G Wireless Technology, Creative Disruption: Artificial Intelligence. The Equity Research Associates … Rob Almeida and Erik Weisman continue their assessment of the equity markets through an earnings lens, notably during a recovery, in their latest Market Insight. Buybacks and Dividends: Follow the Yellow Brick Road. Whether you're an investment professional, an expert in sales or a technology specialist, you'll find a culture at MFS … Learn how we try to understand all aspects of creative disruption. Commercial Real Estate - Scary Headlines, Potential Opportunity. In this investment overview, we outline the current dynamics affecting potential opportunities in Japan equity. Sector Spotlight: Healthcare and COVID-19. The attributes of a skilled active manager, An update on MFS' ESG integration efforts, in addition to proxy voting and engagement highlights from the past quarter. An Overview: Value, Momentum and Mean Reversion in Factor Returns. Freeze Frame: A Look Back at the Impact of Earnings on Global Equity Returns. In this Investment Insight, we examine the case for investing in high yield bonds through the economic cycle and the benefit of tactical allocations to CCC-rated bonds. Save. A summary of the global edition of the Capital Markets View for the third quarter of 2020, which includes equity and fixed income insights. Please see our  Cookies Policy for more details and instructions on how you may disable or opt out of cookies. Erik Weisman and Rob Almeida discuss potential scenarios for the global financial markets as the world works through the effects of COVID-19. The Investment Solutions Group details the damaging impact of corporate leverage during crisis in this Investment Insight. Our volatility resources can help you prepare for the market’s next move. MFS Investment Management | 45,423 followers on LinkedIn. In this case study, we discuss the problem of plastic waste, a significant issue which is likely to become even more important in the years ahead. MFS Research Analyst Mahesh Jayakumar explains how MFS incorporates ESG factors into fixed income research and looks at the opportunities and challenges facing investors. The event is open to all LBS programs. The MFS Investment Solutions Group focuses on the potential opportunity in mid-cap equities in this Investment Insight. A comprehensive paper discussing key elements to the upcoming US elections, including candidate policy views, impact on markets and risks specific to the 2020 election. Learn about the historical context of this drop in this Investment Insights from the Investment Solutions Group. Rethinking the Role of Fixed Income Along Retirement Savings Journey. If you are working in a public space, such as a library, you would not want to select this option. Whether you're an investment professional, an expert in sales or … The Two Faces of Dislocation: Liquidity and Solvency. Investment Insight. Breaking a Glass Is Easy; Putting It Back Together Is Hard. MFS Construction London, England 273 followers Facade design consultancy, complex geometry and BIM services for the building industry’s most challenging projects. The MFS Investment Solutions Group focuses on the potential opportunity in mid-cap equities in this Investment Insight, Growth De-Labeled: "Pull Forward" – Opportunities in the US Growth Asset Class. Rob Almeida and Erik Weisman analyze the impact of machines on volatility in this special Market Insight. Please see our  Cookies Policy for more details and instructions on how you may disable or opt out of cookies. As the impact of material factors on a company’s sustainability becomes more important to investment decision-making, what do institutional investors think about sustainable investing? COVID-19 is leading to unprecedented economic destruction across the globe. Corporate Leverage: The Impact of Debt During Crisis. This paper examines how fixed income should evolve along a glide path and asks questions plan sponsors should consider when choosing a TDF. In this edition of ESG in Depth, we discuss the issue of modern slavery and how to identify and evaluate the increasing risks facing many companies. This paper explores the pioneering role MFS played in active bond management and how this expertise has further evolved over the past 50 years. PROCEED AS INDIVIDUAL INVESTOR PROCEED AS INSTITUTIONS & CONSULTANTS TERMS & CONDITIONS. Learn about year-end capital gains estimates, how mutual funds are taxed, and details about the tax forms your receive from MFS by visting our Tax Center. REITs: An Attractive Diversifier for All Seasons. MFS Investment Management, formerly known as Massachusetts Financial Services, is an 80 percent owned subsidiary of Sun Life Financial, a Canadian financial services conglomerate headquartered in Toronto. A summary of the global edition of the Capital Markets View for the third quarter of 2020, which includes equity and fixed income insights. ESG in Depth: Workers, Platforms, and the Growing Scrutiny on the Gig Economy. 2019 MFS Sustainable Investing Annual Report. MFS Research Analyst Mahesh Jayakumar explains how MFS incorporates ESG factors into fixed income research and looks at the opportunities and challenges facing investors. MFS' Director of Fixed Income Research - Europe discusses the likelihood of a lengthy downturn followed by a modest recovery and the anticipated rise in credit defaults. $97K-$133K (Glassdoor est.) 2020 US Presidential Election: Let the Games Begin! These proprietary expectations represent a forward look over a 10-year time horizon as of April 2020. MFS Service Center, Inc. PO Box 219341 Kansas City, MO 64121-9341. The Investment Solutions Group articulates high profitability, leverage and beta investment factors relative to returns in this Investment Insight. This website uses cookies to measure our website audience, improve your browsing experience and provide you with relevant advertising. Capital Markets View is published each quarter to provide a broad perspective on current risks and opportunities in the equity and fixed income asset classes and across various regions, including Europe, United Kingdom, Japan, Asia, and Emerging Markets. It's Hard to Conjure Animal Spirits From a Wounded Animal. Save this job with your existing LinkedIn … Nearly half of institutions want active managers with a strong culture. We discuss how societal expectations, climate regulation and the shift to a circular economy are changing how we make, use and reuse plastic. How we help our clients achieve their investment goals by employing an investment approach that integrates environmental, social and corporate governance. Fixed Income High Yield Research Analyst Whether you're an investment professional, an expert in sales or a technology specialist, you'll find a culture at MFS that supports you in doing what you do … Equity Markets Through an Earnings Lens, Part II. We analyze the long-term durability of the stock market following periods of significant drawdowns. Institutional Portfolio Manager Nick Paul examines the unique opportunities offered by the US growth equity asset class as the world and markets continue to navigate the current pandemic. White paper presenting several cases - macro and micro - for investing in Japanese equities. 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