Investment
Fixed Income | 28 Sep 16
ANALYSIS: Why you should have stuck with gilts
While the popularity of different asset classes will ebb and flow, the one thing I have learned in my 11 years in financial journalism is that gilts are never a fashionable choice.
Best Practice | 28 Sep 16
Why wealth managers need to change their business models
Faced with an increasing pressure on margins and the cost of regulatory compliance, EY gives five tips on how wealth managers can change their business models to weather the storm of digital disruption.
Political risk is European equities’ biggest threat – CBRE
The number one macroeconomic threat to European financial markets is political risk, according to Sabina Kalyan, global chief economist and head of EMEA strategy and research at CBRE.
UK property freeze thaws but open-ended fund days numbered
Following suspensions of trading and value adjustments at most of the leading UK property funds in early July, September has seen the crisis abate to a large extent.
Emerging Markets | 27 Sep 16
What next for emerging markets?
Following strong performance so far this year, is the rally in emerging market equities sustainable in its current form?