Morningstar: Fixed income attracts €25.7bn net inflows while equities bleed €1.8bn
Commodities experience largest outflows since Morningstar’s recording began in 2007
Commodities experience largest outflows since Morningstar’s recording began in 2007
Souheir Asba will oversee the firm’s investment-grade credit strategies
Investors are scurrying to lock in decade-high yields before rate hikes bring then down to earth
Opportunities are plentiful in emerging markets this year, but investors should exercise caution, writes Dr Ricardo Adrogue
The UK’s debt burden is high and it is not master of its own destiny, writes Cherry Reynard
Riddell will be lead portfolio manager for Fidelity’s strategic and total return bond strategies
The Allianz Strategic Bond manager departs after eight years with the firm
Seeks to offer investors protection from unexpected UK inflation
Iain McLeod examines the key trends driving the world’s wealthiest investors’ portfolios
Should fixed income investors shun a ‘buy the market’ approach in favour of selective and targeted regional and credit selection?
ETFs to hold government bond exposure to US treasury and Italian government bond markets
Financing companies that make progress in sustainable development