David Herro, Co-CIO – International Equities at Harris | Oakmark, offers some timeless wisdom on short-term volatility.
Amid global uncertainty, Europe faces slower growth but will benefit from increased stability.
In the first of three-part series, Sebastien Beguelin, Senior Fund Manager, looks at ’atoms’ – representing investments into the physical world – and how this long-term trend is represented in our sustainable fund range
Listen to the latest podcast with Caglasu Altunkopru, Head of Macro Strategy, Multi Asset Solutions Group, at AllianceBernstein
Listen to the latest postcast with Honor Solomon, CEO for EMEA and Head of EMEA Retail Sales, at AllianceBernstein
Listen to the latest podcast with Defne Ozaltun, Portfolio Manager on AllianceBernstein’s multi-asset solutions team
Insights from AllianzGI's Systematic Equity Team on Random Forest, NLP, and more.
Mike Riddell, portfolio manager of Fidelity Strategic Bond Fund, provides an overview of the macroeconomic environment and outlines his views across the strategy’s main alpha sources. Despite geopolitical tensions and economic concerns, market sentiment remains resilient, with short-lived volatility spikes and credit spreads rallying in recent weeks. Against this backdrop, he highlights why his highest conviction forex position is a short US dollar against a basket of emerging market currencies.