CAZENOVE
Investment Week | 12 Mar 2010
Investing in the equity income sector offers a compelling way for investors to participate in the emerging trends of positive corporate cashflow and improving earnings momentum, says Karen Robertson of Standard Life Investments.
Do hedge fund managers really have the relevant skills to successfully manage regulated, Ucits III products?
Investment Week | 26 Feb 2010
Cazenove Capital Management and Russell Investments have each boosted their UK regional teams.
Investment Week | 22 Feb 2010
OTHER CAZENOVE ARTICLES
Investors should be braced for a further European equities sell-off, Cazenove's Chris Rice says.
Investment Week | 10 Feb 2010
Tim Russell is one of the stars of Cazenove’s hugely successful move into mainstream fund management – he manages a small stable of hedge funds and Ucits III absolute return mandates all focused on making money through the business cycle. Unlike his closest peers such as Mark Lyttleton at BlackRock, Russell is noticeably more bearish about the UK stock market and clearly concerned 2010 could be a very difficult year for active fund managers
Investment Week | 08 Feb 2010
Cazenove UK Opportunities manager delivers consistent top-quartile performance
Investment Week | 08 Feb 2010
Bond fund managers forecast a bleak future for the UK as the markets continue punishing Greece for its debt problems.
Investment Week | 05 Feb 2010
Towergate Financial has launched its active multi-asset portfolios (MAPs), to be managed by Cazenove Capital.
Investment Week | 29 Jan 2010
A report out today from Morgan Stanley forecasting harsh dividend cuts by European banks has left equity income managers largely unfazed as many have already reduced exposure to the sector.
Investment Week | 27 Jan 2010
Over the last few months I have been spending a fair bit of time talking absolute returns with some of the best fund managers in the business.
Investment Week | 25 Jan 2010
Last week’s news that the Chinese economy continued to power through the global economic crisis, with growth of 10.7%, adds weight to those who argue for a greater weighting to the country and emerging markets in general.
Investment Week | 25 Jan 2010
Fund managers believe Barclays, HSBC and Royal Bank of Scotland are the UK banks most likely to suffer if the latest US plans to curb risk taking in the sector are effected.
Investment Week | 22 Jan 2010
Prominent bond fund managers paint a gloomy picture of Western government bonds.
Investment Week | 22 Jan 2010
Assets at Cazenove Capital Management rose by 27% last year, aided by large inflows to its Absolute UK Dynamic fund in September.
Investment Week | 19 Jan 2010
It is that time of year when we all seemed to spend a lot of time predicting – or more likely – guessing what are going to be the top-performing asset classes during the year next 10 years.
Investment Week | 18 Jan 2010
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Smaller companies may outperform for a multi-year period, says Gartmore's Gervais Williams.
ADVERT - FUND WATCH
Keeping a watchful eye on the funds that matter. This month, Schroders' income funds take the spotlight.
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