Baillie Gifford’s Steven Hay: Inflation will remain a significant risk to returns
Multi Asset Income manager reveals what his experience at the BoE has taught him about the ‘inflation quandary’
Multi Asset Income manager reveals what his experience at the BoE has taught him about the ‘inflation quandary’
Sanlam UK chief executive talks life with a private equity backer, ahead of unveiling new brand
Investors in debt-laden companies with low growth prospects should also be worried, says the Carmignac fund manager
LGIM head of retail investments is spreading bond and currency risk outside of traditional markets
The J Stern & Co partner talks about following an investment approach going back 60 years
Unigestion CEO believes lost art of stockpicking, top-down allocation, market timing, diversification and risk management will start to hold some significance again
Quilter Cheviot investment director wants to encourage more women to invest as 70% found not to be engaging with their finances
Boutique’s ‘entrepreneurial culture’ has attracted heavy-hitters like Rosemary Banyard and Simon Evan-Cook
Abrdn’s multi-asset strategist talks drowning out the noise and listening to the quieter voices in the room
‘With everyone claiming they are experts, it has become very difficult for investors and advisers to work out what to do,’ says EdenTree’s CEO
Investors must be more aware of type of investment that will suit each cycle, says Beckett AM portfolio manager
BNY Mellon Real Return manager is prepped for greater volatility in 2022 with cash levels at a higher than average 18%