The contrarian argument for Italian banks
The government’s row with the EU has scared investors but valuations look attractive and earnings could soon rise
The government’s row with the EU has scared investors but valuations look attractive and earnings could soon rise
Hybrid securities can provide higher yields during tightening cycles and have seen an uptick in demand this year
Spanish fund selector’s new global equities fund will invest internationally through selected boutique managers
French asset manager hopes restructure will improve division’s returns following poor performance of key funds
Italian insurer outlines three-year plan to expand business via organic growth and M&A and will target CEE region
Dutch fund group claims there is rising demand for investments in “real assets” that meet sustainable criteria
Camille Ferron will focus on external managers’ responsible investment processes, BNP Paribas subsidiary said
Global portfolios unlikely to increase long-term positions in British domestic assets despite draft exit deal
Fund uses strategies common in structured investment but with particular focus on autocall – or kickout – strategies
Micaela Forelli appointed head of European distribution in Luxembourg as British asset manager ramps up European presence
We invited three high-profile investors from the Nordics to discuss some of the biggest challenges facing fund buyers
New Stockholm office provides US group with opportunity to build presence in Sweden, Denmark, Finland, Norway and Iceland