Norwegian investors adjust to latest oil price slump
Many of the Nordic country’s leading companies are heavily dependent on crude but this dynamic is slowly shifting
Many of the Nordic country’s leading companies are heavily dependent on crude but this dynamic is slowly shifting
Impact funds struggle to invest in a ‘net positive way’ and negative impacts can be an undocumented by-product
The government’s row with the EU has scared investors but valuations look attractive and earnings could soon rise
Government reforms and societal shifts have reignited investor confidence after years of economic stagnation
Hybrid securities can provide higher yields during tightening cycles and have seen an uptick in demand this year
Fixed income investors weigh up the challenge of trying to generate positive returns as duration lengthens
Spanish fund selector’s new global equities fund will invest internationally through selected boutique managers
Investment grade corporate dominates sustainable bonds, but range of asset classes will grow, says consultancy
Despite meagre returns, October saw the highest monthly flows into money market funds in over a decade at €52.5bn
French asset manager hopes restructure will improve division’s returns following poor performance of key funds
Newly-appointed chief exec David Jacob plans revamp of fixed income and equities franchises after disastrous year
Dutch fund group claims there is rising demand for investments in “real assets” that meet sustainable criteria