Passive equity funds ‘consistently’ outperforming active counterparts
Round-up of diversity coverage
New rules to kick in at the end of 2019
3% of workforce
The case for keeping bonds in porfolios
Changing investment process
Annual review of the sector
50 employees to be axed for £4m annualised cost saving
Left firm last year
Walker Crips Investment Management Limited
Bond funds severely affected
Dear CEO letter
Changes transforming industry
Issuance rose to £22.1bn in 2017/8
Industry Voice: Krishan Selva, Client Portfolio Manager at Columbia Threadneedle Investments, says the main risk for emerging markets is in relation to the global trade war. However, negotiations will continue and the recent market correction provides...
Levies suspended - but how long will US-China detente last?
Untainted by Brexit
2018 was a difficult period for the Japanese equity market.
Finished substantially ahead for 2018
The past six months in European markets have been dominated by two factors: profit warnings in the more cyclical sectors and an aggressive derating of mid-cap growth stocks.
Brexit and general election risk
Steve Waygood, chief responsible investment officer at Aviva Investors, takes an in-depth look at the relationship between responsible investing and performance.
Follows HM Treasury-led report