Kames head of wholesale quits amid Brexit reshuffle
Steve Kenny ends 16-year stint as asset manager plans for life outside the EU
Steve Kenny ends 16-year stint as asset manager plans for life outside the EU
European fund buyers are turning away from hedge funds amid concerns about developed market bond yields
Measurement of non-financial performance alongside financial results will be one of the strategy’s key characteristics
Institutional investors flee in Q3 amid concerns about divergent monetary policy and geopolitical uncertainty
Asian asset managers have found European expansion challenging in the face of intense competition, according to report
With the US Federal Reserve expected to keep raising rates, where is the opportunity in fixed income?
US dollar currency speculation has led one fund selector to increase their allocation towards emerging market debt
A dependence on bond issuance for funding will increase a company’s risk profile, according to BNP Paribas
The sanctions can make investing in Russia a bumpy ride. But there are still attractive returns to be found
Euro Stoxx 600 down over 1.9% on Thursday morning as investors fret over US-China trade war and rising rates
Troubled Swiss asset manager in early-stage negotiations with potential buyers, according to Citi analyst
The firm will leverage its own research and insights on companies’ ESG practices and engage with management on material risk areas