Chinese equities – when political risks override the markets
IA China/Greater China sector had, until recently, consistently outperformed North America, global and emerging markets
IA China/Greater China sector had, until recently, consistently outperformed North America, global and emerging markets
Europe and the US have the most ESG bond funds, and passive and impact products are gaining popularity
Continuing our series on how fund group distribution bosses are thinking about asset classes, strategies and working with clients over the rest of 2021 and beyond
The past 12 months has reinforced the view real estate still plays a fundamental part in a diversified portfolio
Continuing our series on how fund group distribution bosses are thinking about asset classes, strategies and working with clients over the rest of 2021 and beyond
How can advisers help clients understand the level of liquidity they require and manage liquidity risk across the overall portfolio?
Continuing our series on how fund group distribution bosses are thinking about asset classes, strategies and working with clients over the rest of 2021 and beyond
Significant redemptions from Targeted Absolute Return funds in recent years would suggest an inability to live up to investors’ expectations. Which begs the question – were those targets viable?
17 ESG funds have attained FE Fundinfo’s highest five-crown rating since its last rebalance
US treasury yields have fallen recently, but investors could be in for a nasty surprise if inflation proves more stubborn than anticipated
Continuing our series on how fund group distribution bosses are thinking about asset classes, strategies and working with clients over the rest of 2021 and beyond
Aegon AM manager on the need for rating agencies to be more qualitative in analysis of companies