Long-only European funds suffer €35bn October outflows
Investors shun risk and exit long-term funds in favour of money market funds at levels not seen since eurozone crisis
Investors shun risk and exit long-term funds in favour of money market funds at levels not seen since eurozone crisis
Markets have rallied since election, but concerns remain about Brazil’s controversial new president
New government has given market mixed messages. Should investors increase or decrease exposure?
Latin America outperformed emerging markets in 2018 and it’s ‘very likely it will continue to outperform next year’
As parliament prepares to vote on Brexit deal, investors are warming to UK equities amid possible end to uncertainty
New report suggests ever-increasing parts of funds business are adopting an automated approach to funds transfers
Transaction allows Korean asset manager Samchully to enter France’s renewable energy market for the first time
Tie-up will combine Nordic bank’s relationships with State Street’s operational, data and analytic solutions
The world’s largest fund is set to more than double its investments in Saudi Arabia despite Khashoggi killing
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