Global debt levels are concerningly high – an allocation to gold is essential
The highest debt levels on record could make gold a better safety net than bonds, according to these fund managers
The highest debt levels on record could make gold a better safety net than bonds, according to these fund managers
Brain, who previously led Newton’s fixed income team, retires after 40 years as an investment manager
Tactical asset allocation update notes a fundamental shift
New white paper examines the limitations of modern portfolio theory
However, growth versus value argument is not as clear cut as it once was
In the first of a new series, Aviva Investors’ Smera Ashraf explores whether both these strategies have a role to play in the prevailing financial climate
90% of advisers surveyed use funds for accumulation and decumulation
Funds replace JPM Global Macro Sustainable and RobecoSAM Smart Materials
The multi-asset manager on why last Autumn was an opportunity
US smaller companies have underperformed and they now offer good value
Many of the areas that have come under pressure as rates have risen may start to revive
Active funds don’t come close to the high returns of the index trackers, with many multi-asset managers cutting their active exposure all together