Beginning of trade wars could trigger a strong headwind
Concentrated portfolio of 75 to 100 positions worldwide
TEG issues report on sustainable finance
Reduced UK outflows
Equity funds see continued outflows
Global-facing UK equities offer best relative value
Standardisation of products needed, manager argues
Managed by Fabio Vanerio
Asset class adapting and improving
Managed by Richard House
Most investors shunning energy companies due to oil price volatility
Today we are seeing change in the political environment, investor priorities and market landscape at a faster pace than ever before.
In praise of investment grade
Departs after 24 years
Scandal-ridden benchmarks to be phased out by 2021
Bigger steps towards tackling climate change, experts argue
Which funds made the cut?
Management team to target holdings' carbon emissions and water usage
Five fixed income and three equity products
As we approach late cycle, global markets are characterised by low growth and falling inflation.
Bond investors spent most of last year transitioning towards a more fundamentally driven approach to selecting assets.
Co-manager of several high yield bond funds
Formerly managed by Bill Gross at Janus Henderson
Opportunity in high yield laggards