European equity managers are rotating into quality stocks with global exposure as the European Central Bank (ECB) prepares to combat a buoyant euro.
The pressure points in markets as ECB prepares for action
The average strategic bond fund now holds less than half its assets in the UK, as managers "starved" of opportunities rotate into Europe, the US, and emerging market debt.
Bond managers are becoming more bearish on peripheral Europe corporate debt, turning to core names and the US as spreads tighten to post-crisis lows.
The European Central Bank will consider quantitative easing among other measures to avoid a long period of low inflation, its president has confirmed.
The president of the European Central Bank (ECB) has said the currency crisis in Ukraine could have serious and long-lasting implications for the European energy market.
Bryn Jones and David Coombs have bought into emerging market debt in the Rathbones Strategic Bond fund for the first time in 12 months after spreads widened significantly during the recent sell-off.