Macro matters: Why managers are buying China again
Those investors who fled China have flocked back in recent weeks after a pivotal shift in policy that has gone mostly unnoticed by wider markets
Those investors who fled China have flocked back in recent weeks after a pivotal shift in policy that has gone mostly unnoticed by wider markets
Will see the fund drop its ESG screen and move to SFDR Article 6
Providing investors with access to companies leading the transition to a low carbon economy
At a recent conference, panellists covered the role of private capital and how AI is impacting risk and portfolio management
Fund Selector Asia’s Rupert Walker reports on-the-ground views from Hong Kong
As the Year of the Dragon opens with the stockmarket of the world’s second-largest economy at record lows, Portfolio Adviser analyses the myriad headwinds facing China in 2024
Money continues to flow out of the UK equity income sector, yet dividend growth is on the up
Associate portfolio manager discusses mitigating climate risk when making investment decisions
Emerging markets have been out of favour in recent years, but there are signs investor appetite is returning with China and India dominating
Initial expectations were ‘almost certainly too high’, but there are opportunities in particular sectors
It will track 20 of the largest cryptos by market cap
It is targeted at asset and wealth managers, among other clients