AJ Bell’s Hughes: Why money will keep flowing into fixed income funds
The managing director says outflows from money market funds will ramp up as we head towards the new year
The managing director says outflows from money market funds will ramp up as we head towards the new year
Sid Chhabra, managing director, head of securitised credit and CLO management, will take up Jewell’s responsibilities
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 manager of the Man GLG High Yield Opportunities fund on how he’s built a track record of delivering stable performance in the volatility prone high-yield sector
High yield bonds had a strong 2023 but the cracks are starting to show, writes FundCalibre’s Darius McDermott
Speculative-grade debt is accounting for a growing share of upcoming maturities, expected to rise four-fold by 2028
Money continues to flow out of the UK equity income sector, yet dividend growth is on the up
Multi asset manager discusses defensive plays, generating long term alpha, and fixed income allocation
City of London becomes most purchased investment trust while Royal London Short Term Money Market leads for funds
Mike Della Vedova of T Rowe Price and Iboss’s Chris Metcalfe on whether they’re embracing sterling high-yield bonds in their portfolios or giving them a wide berth
One area of the market is still being overlooked