JPMAM's Andreas Michalitsianos (pictured), manager of the JPM Sterling Corporate Bond fund, discusses how investment grade corporate bonds can act as a buffer in a rising interest rate environment.
Would allow for 'smoother transition'
HNWs across the globe surveyed by ComPeer
Sterling's weakness after the Brexit vote should be seen in the context of longer-term concern regarding the UK's current account deficit, writes EFG Asset Management chief economist Daniel Murray.
This year has not been a good one for economists trying to delineate the fortunes of the UK economy. 2017 could be worse.
Foreign investment down
Natixis Global Asset Management is set to launch two funds for the UK retail market, one focusing on European equities and another investing in global stocks.