Rate rises will be slower than predicted
Managed by Kacper Brzezniak
Aims to deliver an income of 5%
Yield and credit curves flat in several markets
We have reached an inflection point this year where, after several years of extreme liquidity, we are now heading toward monetary policy normalisation.
TERs of 0.30% and 0.35%
Return of volatility
Financial performance in focus
Decision on Thursday
Seeded by Quilter Multi-Asset
Fixed income 'surprise winner'
Trade war remains a risk
Following demand from UK clients
Left AXA IM in 2013
Combined inflows of €17.8bn
Focus on financials
As ten-year US Treasuries hit 3%, it is time to start thinking out of the box, writes Brian Heyworth, global head of client strategy at HSBC Global Asset Management.
Strengthening dollar a risk
PARTNER INSIGHT: Mike Amey, managing director and portfolio manager for the PIMCO GIS Global Libor Plus Bond fund, on why a 'balanced' and active investment approach is helping to generate returns whilst maintaining a low risk profile.
PARTNER INSIGHT: PIMCO explains how the US mortgage market could provide opportunities for active managers as we enter a new period of potentially higher volatility
Both based in London