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