Co-managers of the Aviva Investors' multi-asset fund range Thomas Wells and Paul Parascandalo are positioning their portfolios in preparation for an imminent "market melt-up" - where stockmarkets spike before a steep decline.
Wells said in order to capture opportunities thrown up by the market spike, the team were "bullish and overweight risk all of last year". They also added further to these risk positions in November. ...
Four potential outcomes
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