As open-ended property funds start to reopen after suspensions following the Brexit vote, there is a danger the debate around these vehicles gets kicked into the long grass until the next crisis erupts.
GICS has reclassified real estate as standalone sector
Co-CIOs join from Goldman Sachs
Three alternative fund managers reveal their strategies for navigating uncertain markets and the tools they are using to deliver performance in a low-return environment.
Aviva Investors has announced it will resume trading of its £1.5bn Property Trust from 15 December, having suspended the fund in July.
In an ever-expanding world of multi-asset funds claiming to manage, profile, rate or target risk, it is important to understand precisely what is on offer, writes gbi2 managing director Graham Bentley.
Broadening distribution key
Fund managers are employing a number of strategies to guard against rising inflation, but argue better value can be found outside the UK index-linked market as demand soars.
Wrong to lump all strategies together