The start to 2018 has seen a re-emergence of market volatility in the credit markets, rising incidence of idiosyncratic risks and an increased dispersion in investor appetite.
In such a market environment, the focus on environmental, social and governance (ESG) investing is a core part of the armoury in protecting portfolios against downside risk. While much of the focus...
Considering adding Income Focus fund
Industry Voice: Two decades of experience have shown us that deploying an ESG focus is entirely complementary to long-term performance goals.
Russ Mould, investment director at AJ Bell, looks at four contributors to the upward march of the FTSE 100.
Next stage of development
Poor practice highlighted