Investment
Risks rising in UK equity income sector, says Neptune
UK equity income managers are corrupting what is supposed to be a “safe sector” by taking too much dividend and capital risk, according to Neptune Investment Management chief executive Robin Geffen.
Emerging Markets | 7 Mar 17
Jupiter unveils global emerging markets corporate bond fund
Jupiter has launched a global emerging market corporate bond fund for its new hire Alejandro Arevalo, who joined the asset manager in December from Pioneer Investments.
ANALYSIS: Aberdeen/SL deal ushers in new wave of M&A
After being forced to confirm discussions about a potential £11bn (€12.7bn, $13.5bn) merger, does the consolidation of Standard Life and Aberdeen Asset Management prove a new wave of M&A in fund management is on its way?
Investment | 6 Mar 17
ETF industry grew faster than hedge funds in 2016 – ETFGI
The amount of money invested in exchange traded funds (ETFs) last year was $530bn (£430bn) larger than the total invested in the entire global hedge fund industry, according to new data from ETFGI, an independent research and consultancy firm.
US equity funds to watch based on their AUM
The largest US equity funds are dominated by managers with a great deal of experience who focus on companies with the potential for durable growth.
