Is the tide finally turning for Chinese equities?
Green shoots have started to emerge among China and Greater China portfolios
Green shoots have started to emerge among China and Greater China portfolios
Europe remains an “attractive destination” in long term despite “clear risks on the horizon”
Riddell will be lead portfolio manager on Fidelity’s strategic and total return bond strategies, writes Christian Mayes
Hannah Williford reports on the ECB’s decision to keep rates unchanged – and when cuts may begin
In a surprising twist, European investors seem less optimistic than their peers around the world in their businesses meeting net-zero obligations by 2030. ESG Analyst Survey 2023: Mind the Gap, a report from Fidelity International, asked respondents what proportion of their companies they believed were allocating enough capital expenditure to achieve net zero by 2030,…
As European managers outpace their US and UK rivals when it comes to backing shareholder proposals
Morningstar’s head of manager selection, Ruli Viljoen, picks funds expected to deliver over the long term
‘The covid pandemic has been every income fund manager’s worst nightmare’
Hunt for treatments and vaccines puts spotlight on pharmaceutical companies
A trio of managers talk outlooks, sectors and interesting stocks as the coronavirus bites
A quarter of locals already make online purchases
The asset manager’s bottom-up research process uses the insights of more than 180 research analysts