Rob Gleeson: Soft Brexit could challenge portfolio managers
FE’s head of research examines the ‘good news is bad for markets’ paradigm
FE’s head of research examines the ‘good news is bad for markets’ paradigm
Private credit team aims to reach broader range of investors with launch
Swiss asset manager says hire will improve relationships with trading counterparties
Asset manager eyes more hires and product launches
Fixed income strategy can be implemented with just two products
Spread between two and 10-year treasury yields has fallen from 2.6% to 0.2% in five years
Investors summarise what has changed since banking system entered meltdown in September 2008
Re-packaged fund will be “lower risk” version of JPM Global Macro Opportunities fund
Second major hire for Man GLG’s credit team this month
Climate change and human rights abuses land governments on negative screening lists
Still plenty of debt on balance sheets, says Aberdeen Standard Investments global head of fixed income
Absolute return portfolio based on strategy launched in 2012