Natixis: Investors’ long-term return expectations fall to 6.3%
65% believe market volatility will increase from 2023, according to Natixis Investment Managers survey
65% believe market volatility will increase from 2023, according to Natixis Investment Managers survey
|
|
Initial £39.6m investment
|
|
Multi-Manager Asia & Emerging Markets and Strategic Bond funds red-flagged over poor performance
|
|
Also exited ASML on valuation grounds
|
|
While IA North America and Tech continued to top monthly returns
|
|
A look at five funds in a tech-heavy sector that tends to shine when growth is in favour but struggle when value is the mode
|
|
The host of headwinds battering UK smaller companies has prompted a crisis of faith among investors. Is the sector down and out or on the cusp of a supercycle?
|
|
Global equity, US equity, and high yield bond strategies to be run by Calvert Research and Management
|
|
Special dividends fell by more than three quarters in 2023, but bank payouts ‘more than offset cuts’
|
|
Tom Record and Christine Baalham join to co-manage the retiring Jeremy Podger’s funds
|
|
European-domiciled funds as a whole attracted a net €49bn in 2023
|
|
Market experts shed light on what investors can expect from 2024
|
|