This year has undoubtedly been a much more challenging one for the global asset management industry after a strong 2017 and market headwinds look set to continue to cause problems into next year and beyond.
Periods of volatility have returned to markets in 2018 for a variety of reasons including Brexit, trade war fears, jitters over the impact of quantitative tightening from central banks and crises within...
The US dollar is close to peaking and the risks now seem to be on the downside.
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