Jupiter shutters dwindling European small-cap fund
Firm also changes management on global bond strategy
Firm also changes management on global bond strategy
Portfolio managers Erin Browne and Emmanuel Sharef say allocating to fixed income may help to navigate Fed policy uncertainty
The outlook for equities and bonds may appear considerably better than this time last year but recent market shocks would suggest carefully selected alternatives could merit a place in many portfolios
$17bn worth of contingent convertible bonds wiped out following UBS takeover
With the central bank now a seller in the market, questions arise over who will buy the record £240bn issuance
The fund tracks the Solactive Paris Aware Global Government USD Index
Four other strategies given top marks, including JP Morgan Global Equity Income
Every month, Portfolio Adviser asks a cross section of industry commentators for their views on the same topic
After a year of seismic market shocks, four managers explain how they coped and what lessons they learnt ahead of the looming recession
NAV total return hit 8% for the year as the firm turned its back on the asset class
The global fixed-income strategy is classed as Article 9
The company boasted ‘perfect’ shifts in correlation in November