Investors braced as Italy plunges into new turmoil
The apparent collapse of Rome’s coalition populist government could have far-reaching repercussions for the eurozone
The apparent collapse of Rome’s coalition populist government could have far-reaching repercussions for the eurozone
European fund managers are racing to launch ESG fixed income strategies, but are they superior in any way?
Record low unemployment and strong consumer spending are boosting region’s economies
The fund group, owned by Intesa Sanpaolo, has built dedicated fundamental research and sustainability teams
Morningstar calls for standardised approach to sustainability in prospectuses and Kiids
Ucits-compliant Pictet TR-Sirius fund will invest in range of EM sovereign bonds, interest rates and currencies
New index trackers offer exposure to Chinese and eurozone equities and emerging market bonds with ESG screening
Hodges, who runs Nomura’s Global Dynamic Bond Fund, outlines his strategy in comparison with peers
Costs not covered in management fee handled differently by local authorities hindering competition, says Lipper
Nicolas Moreau tales over from Sri Chandrasekharan as CEO of US$500bn global asset manager
Group says move part of effort to create a bigger fund platform for both companies and generate cost savings
European Renewables fund’s fourth acquisition since IPO in May follows investments in Portugal, Denmark and Norway