Gam’s multi-asset product managers on quest for specialty credit in face of ‘uninspiring’ long duration fixed income
BBB debt issuance has surged but as growth slows a flood of downgrades may have a knock-on effect on wider debt markets
Institutional investors will have access to 127 China bonds with renminbi as a settlement currency
Dutch fund group claims there is rising demand for investments in “real assets” that meet sustainable criteria
Budget standoff between the European Union and Italy’s populist government has reignited eurozone debt concerns
Dublin-domiciled absolute return fund will seek to navigate rising interest rates
The long/short equity hedge sector has lost about 6.6% over the last three years, according to FE Analytics
Emerging market bond funds are the “sweet spot” when it comes to the search for fixed income yield, according to BlackRock.
After a decade of ultra-low interest rates and loose monetary policy, the consensus is that central banks around the world will continue to tighten their belts in 2018, so how best to tackle the shift?
Bond indices were never intended to form a basis for investment but merely reflect a market. As a consequence, they expose investors to unintended risks and are not a rational investment strategy.