Is retail investors’ appetite for risk increasing?
Cost-of-living crisis is hampering their ability to invest
Cost-of-living crisis is hampering their ability to invest
While weighting to equities upgraded to neutral in firm’s Q2 outlook
Multi-asset manager and head of fixed income at Credo, Rupert Silver, shares his recent asset allocation changes
After a second set of manager changes in less than three years
As it appoints Hymans Robertson and Defaqto to oversee allocation and risk profiling
Top performers and compelling newcomers in the spotlight
Average annual return of 10 most expensive strategies was -17.3%, with some customers paying nearly 2.5%
The fund will begin trading on 1 November
He and Joseph Chapman are casualties of incoming CEO Matthew Beesley’s restructuring plans
But concerns of a global slowdown appear excessive, says Liontrust’s Husselbee as he eyes up a portfolio rebalance
Will re-deploy £2bn HL Multi-Manager Income & Growth Trust’s direct holding in Marlborough Multi Cap Income
‘Our view is clients should never lose sleep over what we are doing,’ says Mirabaud senior portfolio manager