‘I’ve been researching past pandemics and post-war periods’: Quarantine Q&A with Paul Brain
BNY Mellon Global Dynamic Bond manager says remote working initially hit liquidity but markets have now adjusted
BNY Mellon Global Dynamic Bond manager says remote working initially hit liquidity but markets have now adjusted
Closed-end fund specialist now owns a 7.9% stake in Schroder UK Public Private
Certain European stocks and sectors now offer a much better reward for risk than their US peers – particularly in the case of regional heavyweight Germany
The Baillie Gifford American fund has returned 50% in just under two months
Peter Brunt will head up SPW’s manager research after five years at Morningstar
The key events for UK wealth managers for the week starting 26 May
ACD had already halved the weighting in the LF Equity Income fund last week at a 74% loss
Two separate reports published this month look at adviser attitudes to ESG
Mark Denham and Obe Ejikeme-managed fund targets companies that reinvest for future growth
Most funds have suffered negative returns but the top performer has delivered 5.8% during the Covid-19 sell-off
Co-manager Alethea Leung shows up Stephen Andrews with stock-specific insight in a meeting with the research house
Although Europe funds are being shunned, those with an ESG approach have outperformed rival regional funds