Short-dated bonds can solve the problem of capital preservation
‘Now is the time for investors to be flexible and pragmatic’
‘Now is the time for investors to be flexible and pragmatic’
Seven retentions and three upgrades in firm’s latest academy ratings roundup
Investors sought safety in commodities and fixed income during a volatile month
$17bn worth of contingent convertible bonds wiped out following UBS takeover
Current manager Noelle Cazalis is exiting the firm after 12 years
While weighting to equities upgraded to neutral in firm’s Q2 outlook
With the central bank now a seller in the market, questions arise over who will buy the record £240bn issuance
Multi-asset manager and head of fixed income at Credo, Rupert Silver, shares his recent asset allocation changes
Are reports of the AT1 sector’s ‘death’ exaggerated?
Amsterdam-based firm retains negative weighting to the asset class
Watchdog created LTAFs so ‘investors can more easily invest in productive finance assets’
On International Women’s Day, JP Morgan Asset Management’s leading industry commentators give their investment outlook for the months ahead