Fund managers argue investors face bigger risks than Brexit
Cash could be the wrong place to be if there’s no deal
Cash could be the wrong place to be if there’s no deal
Political uncertainty rocks sectors like manufacturing and automobiles, leaving fund buyers worried
Boutique prepares to lose passporting rights and Ucits status as Brexit deadline approaches
Firm predicts the asset class to return 5% to 7% for this year
Fund house partially attributes resilience to investors’ small EM allocations
No funds in the sector delivered a return in 2018
Selectors should look towards China, India, and Africa when it comes to sustainable investing, Thanos Papasavvas believes
The firm’s latest fund seeks to add fixed income diversification and lower volatility
Most European fund buyers believe the UK will lose out, but UK selectors think it will be everybody else
The fund will consider firms that are labelled ‘improving’ and those with sector-leading sustainability profiles
Simultaneously leading a business and managing money described as ‘virtually impossible’
Fund follows the introduction of MSCI’s new communications services sector for big name tech firms