FCA unveils £11m campaign to address idle cash holdings and high-risk investments
But regulator warned not to tar all high-risk investments with the same brush
But regulator warned not to tar all high-risk investments with the same brush
Investment manager says currency markets represent the ‘ultimate macro view’
Damian Taylor named deputy manager on two upcoming growth strategies focused on Asia ex-Japan and China
Claire Bousfield has been named as managing director of M&G’s retail and savings business
‘He has left the investment sphere behind him a better, more ethical and environmentally friendly place’
The new information will be reflected in AoVs and fund factsheets implemented during 2022
‘In today’s bond market, the optimal way to protect and grow capital is through an active approach’
Daniel Say has also worked for the government reporting national greenhouse gas emissions
‘The decision to reduce asset purchases is not tapering, but a reversal of March’s emergency uplift in purchases’
LF Ruffer Diversified Return fund is to address risk of falling bond and equity prices
Wealth manager adds firepower to sales teams in London, Midlands and South West
Martin Gilbert’s consolidator offers ‘significant opportunities’ to build shareholder value