US/China and Brexit behind selected calls
Already planning broker dealer in Frankfurt
30 years' experience
Corporate governance improving
Access to non-sophisticated investors
Managed by Steven Rosenthal
Growing the multi-asset business
Transferring up to 100 staff
In the third part of a special Big Question, fund managers reveal their outlooks for global inflation and how this is impacting their portfolios.
Fund managers from Investment Week's Fixed Income Market Focus discuss their strategies for today's uncertain market environment.
Hunt for yield remains
Including ex-Nomura EMEA equities co-head
Amid widely-held short positions in Italian debt
Expecting August rate cut
Provide "genuine diversification" for investors
To replace Guy Henriques
Nomura's Hodges: Credit market will shut down ahead of EU vote leading to 'tidal wave' of new issuance
Will end up with a 'very expensive' market
Thompson takes on extra responsibilities
Cuts in Europe and US
With the US entering a new rate cycle and global growth still weak, industry experts at Investment Week's recent Funds To Watch event reveal how they think markets will perform in the coming 12 months, and where the key opportunities and risks lie.
Managed by head of equity investment Wildgoose
In the second of a two-part series, Investment Week asks managers for their views on high yield following the sector sell-off in Q3 and how they are gaining exposure.
Rate hikes are off the table until 2017