Equities return to favour but UK still unloved
Fund flow data shows investors continue to trim their domestic weightings
Fund flow data shows investors continue to trim their domestic weightings
Investors sought safety in commodities and fixed income during a volatile month
Follows ‘demand for flexible credit strategies’
Multi-asset manager and head of fixed income at Credo, Rupert Silver, shares his recent asset allocation changes
Are reports of the AT1 sector’s ‘death’ exaggerated?
Firm says it is one of the first funds to integrate sustainability into private debt investments
A structural shift away from the asset class is underway, said Calastone global markets head
Vanguard US Government Bond index was a favourite across the eight model portfolios, while equities were cut back
Swiss asset manager has witnessed increasing demand for fixed income
Jacob Mitchell of Antipodes Partners and AJ Bell’s Ryan Hughes give their thoughts on inflation and which assets they are most excited about for 2023
The sector has suffered 20 consecutive months of outflows as global equity funds prove more attractive
Julian Marks has been tasked with launching a hybrid bond fund