In this Q&A, Mike O’Brien, Director of Global Trading, offers his insights into how the trading desk seeks to add alpha to the investment process.
In the current climate, it’s understandable that investors might be uncertain about how to approach Europe. But while uncertainty is one of the signature catchwords of our time, there are still many great opportunities in Europe for UK investors, if you...
Manager on sustainability, the 'era of the shareholder' and investment inspiration
Moving on from Neil Woodford's downfall
Defunct fund's maintenance fees totalled over £184,000 a day
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It is widely discussed that the UK equity market is cheap and recent foreign takeovers suggest there is value at home.
In this paper, Marshall Stocker, Ph.D, CFA, explores the key drivers of sovereign bond ratings, spread performance and frequency of defaults, paying particular attention to the determinant role that economic policy plays.