ANALYSIS: Time running out for Europe’s closet trackers
With returns from European equities distinctly harder to come by than during the QE inspired climb last year, active funds falling short in active share terms are going to find investors less forgiving.
Multi Asset | 3 Mar 16
We are in a decade of intermittent crashes – HSBC
The traditional way of composing strategic asset allocation has changed, according to Keith Swabey, senior product specialist of multi-asset at HSBC Asset Management.
Fixed Income | 2 Mar 16
UK corporate credit starting to be hit by Brexit – Bluebay
The British pound is “not the only casualty” of uncertainty resulting from the upcoming referendum on whether to remain or leave the European Union, according to head of credit strategy at BlueBay Asset Management, David Riley.
Macro Views | 1 Mar 16
Brexit: Bigger risk than reward – BlackRock
A Brexit, where the UK votes to leave the EU, offers a lot of risk with little obvious reward, according to the world’s largest fund manager BlackRock.
Three key differences between old and new fund – Pidcock
Fund manager Jason Pidcock’s new Jupiter Asian Income Fund launches on Wednesday, following a forced leave of absence engendered by his departure from his former employer, Newton Asset Management.