Bluebay chief investment strategist retires
David Riley leaves full-time employment after more than three decades in the industry
David Riley leaves full-time employment after more than three decades in the industry
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Top performers and compelling newcomers in the spotlight
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While strategies run by Harry Nimmo and Richard Colwell are downgraded/suspended ahead of their retirements
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Investing in private markets could solve problem of ESG for bond investors
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Convertible bonds can provide higher yields during tightening cycles
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Jupiter has announced the appointment of Charlie Spelina as a US credit analyst.
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David Riley, head of credit strategy at BlueBay Asset Management discusses regime change, the risk benefits of reflation, and the dangers lurking in duration.
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Humans have a remarkable capacity for adaption and the investment management sector is no different.
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Investors must adapt to a repeating market cycle of rising global growth fears, subsequent sell-off and rescue by ‘dovish’ central banks, said David Riley of BlueBay Asset Management.
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The British pound is “not the only casualty” of uncertainty resulting from the upcoming referendum on whether to remain or leave the European Union, according to head of credit strategy at BlueBay Asset Management, David Riley.
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Selective investing is key to negotiating the ongoing stock market slide, says City Asset Management’s James Calder.
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