Wealth manager Q&A with Matt Sharp: ‘AI is the next game changer’
Head of UK investment management at Canaccord Genuity Wealth Management on the effect of technology
Head of UK investment management at Canaccord Genuity Wealth Management on the effect of technology
Chief economist says recession risks are higher than markets are pricing in
A year after Liz Truss’s ill-fated mini-budget sent the bond market into a tailspin, experts give their view on the role gilts have to play in portfolios going forward
Axa IM also participated in hotly anticipated sale which raised record £10bn
Now that corporate bond issuers take ESG seriously attention is turning to sovereigns
President Volodymyr Zelensky on track to pass IMF-led reforms
Insight launches in-house sovereign ratings but points to data shortcomings
Absolute return portfolio based on strategy launched in 2012
The Italian constitutional reform referendum this autumn will, or rather should, cause European investors to hold their breath more anxiously than they did on the morning of 24 June.
Edmond de Rothschild Asset Management has launched a concerted effort to push the growth of its UK operation with a catalogue of recruitments.
Widespread investor aversion to minimal bond yield spreads is buoying equity income and alternatives, but could investment grade and sovereigns soon be back in fashion?
Correlations between the credit market and sovereign bonds will linger on, says Neuberger Berman global fixed income manager Jon Jonsson, and credit risk remains the bet to make.