From the Global Market Strategy Team: Credit—Canaries in a Coal Mine, or a Healthy Reality Check? Get Our Insights >

$785 B
_________________________
Assets Under
Management*

1,900+
____________________________
Investment
Professionals

28
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Global
Locations

7
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Specialized, Independent
Investment Boutiques

$750 B
_____________
Assets Under
Management*

1,900+
___________
Investment
Professionals

28
________
Global
Locations

7
____________
Specialized,
Independent
Investment
Boutiques

     

Assessing the Price of Uncertainty

Across developed and emerging markets, price and risk have reconnected. Income has returned not as a defensive cushion, but as a portfolio level opportunity to capture durable, differentiated returns.

  
 

Invested in You

Time is limited. You need an asset manager who's more than invested - you need a partner invested in you. ​At New York Life Investments, we offer sophisticated solutions across virtually every major asset class, and drive success through market insights and proprietary research.

     

Specialized Investment Capabilities
Across Private and Public Markets

     

     

Global Reach

Our family of independent boutiques and investment teams spans a broad spectrum of asset classes, market segments and geographies.  

Global Reach
Global Reach
Global Reach

     

Deep domain expertise grounded in an investment-led culture.

     

     

INSIGHTS

Latest Institutional Perspectives

All-Weatherproofing Institutional Portfolios

For allocators seeking compelling return opportunities in resilient asset classes, 2025 may offer a constructive backdrop for selective opportunities across private markets for institutional investors.

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Q3 2025 Outlooks & Insights

Amid ongoing market uncertainty, New York Life Investments' mid-year outlooks offer boutique insights to help investors navigate change and uncover long-term opportunities.

View Our Outlooks

Trust or Bust: The Next Era of Global Debt Sustainability

The choices governments make will shape long-term capital markets assumptions around inflation, interest rates, and potential growth; and will influence asset allocation.

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