Nearly half of fund positioned towards US
Outflows of €12.8bn
Managed by Gary Robinson
Structural shift in sector weightings
€12bn inflows last week
10-year Treasury yields widened to 2.73%
Group in second place in terms of assets
Hindered by diversification efforts
S&P 500 and Dow Jones both down
€461m outflows in third week of January
Precedents of 1995-96 and 2013
On track for 33% rise
If there is one undervalued idea today, it is the idea the global economy can grow in a sustained, prosperous fashion.
Expands fund range
Asset allocations for the year ahead
Effective 1 January
The old saying "markets like to climb a wall of worry" proved spot on in 2017, writes Russ Mould, investment director at AJ Bell.
Data from TrackInsight
Markets driven by sentiment rather than fundamentals
Boost from tax reforms
'Everything looks expensive or horribly expensive': GMO reduces seven-year forecasts across all asset classes in Q4
EM value most bullish position
How long can performance last?
Winner of fantasy fund manager competition