Barings turns to Australian goverment for bond allocation
Barings has upped exposure to Australian sovereign debt across all of its multi-asset portfolios.
Barings has upped exposure to Australian sovereign debt across all of its multi-asset portfolios.
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An unnamed person was arrested in the UK today for suspected involvement in a UCIS.
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JOHIM is to slash the minimum investment requirements on the JOHIM Portfolio Fund.
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Investors pulled a record amount from high yield bond funds in the week to 22 June.
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Fund managers and promoters alike are unprepared for the impact of FATCA legislation, says KPMG.
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Aviva Investors is to merge three Ucits manager of managers funds into three multi-asset Nurs funds.
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The FCA may change prices and alter product ranges, an FSA consultation paper has proposed.
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The Bank of England has expressed concerns over end-investor understanding of synthetic ETFs.
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Rathbones’ David Coombs has been buying gold for his multi-asset portfolios.
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SIG is to merge a selection of smaller funds into its Strategic Bond and UK Best Ideas offerings.
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Can mid caps sustain their momentum during a more defensive point in the market?
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RAB Capitals board is proposing a delisting as a group of directors propose a management buyout.
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