Cash weightings increased in portfolios
Available on the Aviva Platform
Decade of uncertainty after Brexit
Stocked up on equities ahead of the referendum
Active fund pricing falling
Concerns about contagion risk
The crisis period from 11 February to just before the result of the EU referendum had stemmed from a vicious circle of contracting global liquidity (itself caused by a stronger US dollar and reduced monetary stimulus) and deteriorating global growth,...
Triggered by the European Central Bank's (ECB) Asset Quality Review in November 2014, credit growth across Europe has continued to improve, albeit with ongoing support from the bank, writes PineBrdige's Hani Redha.
First absolute return vehicle for the firm