If rollout does not speed up, the knock-on effect will have widespread global repercussions
When investing in an exciting, high-growth area: you need to separate the hype from the reality
‘There’s no doubt the electric vehicle market is a major structural growth story’
While balance sheets mostly remain strong, profitability was already weak going into the current crisis
Viewpoint: Value stocks and high-yield bonds attractive but key is diversification
They benefit from deeply-rooted and newly emerging sustainability trends
An EU committee has suggested that some firms need to sharpen their Brexit contingency planning
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The asset management industry is facing significant new challenges and active managers need to adapt or risk irrelevance, according to an expert at PwC.
Maintaining flexible, long/short exposures across the credit markets, and limiting duration risk is the best way forward investors in today’s challenging fixed income markets, says Charmaine Chin, managing director and head of credit, relative value and event-driven strategies at K2 Advisors, part of Franklin Templeton Investments, in the article below.