‘Tarred’ Gam boss exits after absolute return fund saga
Institutional client base set to welcome change in leadership
Institutional client base set to welcome change in leadership
US government bonds offer the most reasonable yields according to Invesco but only Finnish selectors are keen
The risk tools look at where you are in the sector and securities in the sector don’t move the same way.
As volatility rocks markets, is it still a good time to invest in US stocks or time to take profits and run?
Majority of 24,000 European investment professionals surveyed by CFA Institute against ESG-related regulation
Majority of 300 asset managers surveyed by Fitch Ratings expect global downturn because of trade wars and political tensions
Swiss asset manger hopes to transform floundering high dividend income fund into a smart-city growth vehicle
There are several potential headwinds that are weighing on investor minds currently, with slowing economic momentum, trade wars, central bank policy, and political risk, all adding to a general sense of market uncertainty. Meanwhile, at a company level, disruptive innovation as well as regulatory and competitive challenges, are also creating stock-specific uncertainty. However, as an…
Managers from emerging markets have increased market share over last decade at expense of Europe, according global survey
Here are some of the highlights from the Expert Investor Spain event in Barcelona on 24 October 2018
In the face of bruising market conditions, some fund buyers have opted for strategic fixed income allocation
The challenges of a modern portfolio mean it’s not enough to simply identify good managers, says Raiffeisen’s Eva Polly