Nordea Asset Management unveils gender diversity fund
Fund aims to capitalise on research suggesting higher equity market returns are achieved by gender diverse companies
Fund aims to capitalise on research suggesting higher equity market returns are achieved by gender diverse companies
London-based asset manager opens offices in Germany and Denmark as part of Brexit mitigation strategy
Central bank will hold auctions of multi-year loans at low rates and will not raise interest rates until 2020
BBB debt issuance has surged but as growth slows a flood of downgrades may have a knock-on effect on wider debt markets
The asset class in Europe saw outflows of €32.5bn during the five months to January after disappointing results
Fund will focus on mid-sized segment of real estate market, targeting investments in gateway cities in western Europe
Institutional investors will have access to 127 China bonds with renminbi as a settlement currency
Azvalor Asset Management’s Michael Alsalem on the outlook for the mining sector in the face of weak commodity prices
Daniel Sheard, an absolute return manager, lost his job as part of wider restructuring efforts, according to reports
UK-based sustainable asset manager will provide investment management services to Luxembourg-based client
Once companies have raised capital they may not be engaged with bond holders for many years
Garsten, who runs Waverton’s European equities fund, outlines his fund’s strategy in comparison with its peers