Investors risk being wrong-footed as bond allocations slump to pre-Lehman crisis levels
‘Effectively 14 years of previous bond overweights have been already erased’
‘Effectively 14 years of previous bond overweights have been already erased’
As it sells down US dollar to fund Australia currency exposure
UK investors withdrew a total of £2.5bn from investment funds in February
‘Higher inflation and expectations of rising interest rates have now been largely priced in by bond markets’
Analysts have yet to revise earnings estimates to factor in impact of Russian invasion and greater inflationary pressures
But when not everyone thinks this gender imbalance is a problem – how do you solve it?
With comments from Columbia Threadneedle Investments, Interactive Investor, DWS and Neuberger Berman
Asset class has ‘great potential’ to achieve progress on UN SDGs but is hindered by lack of analysis
Taking the number of ESG strategies on the 71-strong Wealth Shortlist to six
After two years of subdued activity, China’s pledge to reach carbon neutrality by 2060 sees a surge in green bond issues
Five months after the launch of his sterling corporate bond strategy
£3.5bn outflows driven by another challenging year for its fixed income funds