PA ANALYSIS: Volatile time for active managers amid an oncoming wave of ETFs
Could more active fund managers make use of ETF structures?
Could more active fund managers make use of ETF structures?
Ted Scott considers the potential next steps in the eurozone crisis, in particular Italy and Spain.
Cautious portfolios have led the way so far in 2011, according to the ARC Private Client Indices.
HSBC’s Philip Poole explains why he believes emerging markets will now begin to outperform.
Legg Mason Capital Management Value fund has been dropped from OBSRs service.
The £122m F&C-managed trust saw its NAV rise 12.5% in sterling terms over first half of 2011.
Dennis Hall identifies the winners and losers from the FSA’s latest platforms paper.
Despite an uncomfortable backdrop for risk assets, Bob Doll says the US will avoid recession.
Jupiters Ariel Bezalel is avoiding UK debt in favour of Australian and Canadian sovereign paper.
Bill Gross believes the US debt crisis highlights the uncertainty of its future growth prospects.
The National Institute of Economic and Social Research believes global growth is waning.
The investment arm of Legal & General has reported strong inflows, particularly in its active funds.