Shamil Pankhania joins from BlackRock
'Widespread problem’ researchers claim
New UCITS product to target long-term total returns
Population explosion still key driver of global markets
Global manufacturing continues to contract as trade falters. The Trump administration’s attempts to overhaul trade agreements are cooling sentiment and raising global uncertainty.
Asset class 'less impacted by global risk sentiment'
Reviewing their usefulness at a time of intense volatility
For euro-based investors
Experts reveal their top picks
Oversubscribed by $200m
Most fixed income has performed well in 2019 aided by the change in outlook from many central banks around the world and the gross redemption yield (GRY) on many bonds have fallen to very low or negative levels.
Domiciled in Ireland under ICAV platform
Investors hopeful of bounceback ahead of elections
What is risk? This is a question I constantly pose to myself when trying to assess how best to allocate capital within the fixed income space.
European ETF industry AUM climbs to €795.5bn
Lyxor Asset Management has set a climate policy based on four pillars that will underpin its responsible investment strategy and form a “conceptual and operational framework” for applying climate issues to its core business.
Following acquisition of team
Recognising the next generation of influential UK investors
Monetary stimulus merely postponing the inevitable
Valuations across the bond market are looking expensive. The relationship between duration and yield is stretched to the extreme.
Select issuers now more attractive
'Pendular nature' to 2019 flows
New product to be launched 2 October