59% of asset managers ‘preparing for hard Brexit’
As hopes for deal hang in balance an increasing number of firms are drawing up plans for cliff-edge exit
As hopes for deal hang in balance an increasing number of firms are drawing up plans for cliff-edge exit
It is only the second time in the past five years have net inflows have exceeded €30bn in any six-month period.
South Asian giant’s domestically-focussed economy could deliver outperformance compared to its EM rivals if global trade war tensions rise
Renewed client demand for CLO debt despite the fact similar derivative investments sparked global financial crisis
Investors weigh in on potential spillover effects from the fall in the Turkish lira
Unconstrained fund range was available to retail investors despite inclusion of complex derivatives and currency swaps
European bank credit has suffered sell-offs in recent months but with risks priced-in the asset class now looks attractive, analyst claims
The long/short equity hedge sector has lost about 6.6% over the last three years, according to FE Analytics
Traditional index construction not effective because it makes it difficult for investors to assess source of outperformance
27% of European fund managers will be overweight in sector over the next 12 months, according to BofA
Currency sell-off highlights country’s reliance on foreign capital but analysts don’t expect contagion to spread