Fund buyers have highlighted the upcoming EU referendum in June, a potential re-emergence of the Greek debt crisis, how to play an emerging market resurgence, and dividend sustainability as key discussion areas for their investment teams in Q2.
The beginning of Q1 saw the worst start to the year for global markets in two decades, with indices including the FTSE 100 dropping into bear territory as heightened concerns about a China slowdown and...
Risk to retail investors
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Taking up non-exec role
Following 2016 thematic review