Multi-managers redeployed cash reserves and increased their bond exposure for the second consecutive quarter in Q1 2017, quarterly research carried out by distributor Harrington Cooper shows.
Bond exposure reached a three-year high in a quarter defined by the triggering of Article 50 and the presidential inauguration of Donald Trump, as balanced models grew their positions by just over 1% to...
Marcus Brookes appointed CIO
Industry Voice: Over the past ten years, investors have operated in an environment characterised by extremely accommodative and unconventional monetary policy.
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Aviva Investors' chief investment officer for equities, David Cumming, discusses how his team have integrated ESG factors into their decision-making process