2021 Factor Investing Mid-Year Review – Value: The Comeback Kid

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  • 01 hr 19 mins 04 secs
After an unprecedented year, the global economy is poised to more broadly rebound in the second half of 2021 as covid-19 cases continue to decline and the administration of vaccines accelerate the reopening of economies worldwide. Value investors have seen a long-awaited boost to performance as equity markets have rallied, and reflation and reopening have emerged as key themes for many equity investors repositioning portfolios.

Join us for a factor investing mid-year review as our panel of industry experts discuss the market landscape and share the latest factor research and practical applications.



In the realm of investing, a factor is any characteristic that can explain the risk and return performance of an asset. For over 40 years MSCI, starting with Barra, has researched factors to determine their effects on long term equity performance. MSCI has developed Factor Indexes and Factor Models in consultation with the world’s largest investors and has research backed by four decades of Factor data compiled by a 200+ global research team.

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