How much longer will gilt and treasury yields remain in lockstep?
The UK’s debt burden is high and it is not master of its own destiny
The UK’s debt burden is high and it is not master of its own destiny
Net inflows to North American funds were higher over the last four months than in the previous nine years combined
Multi-manager funds listed as SFDR Article 9
Fatima Luis of Mirabaud Asset Management and Amanda Sillars of Jupiter Asset Management on how with skill, agility and timing, bonds can deliver
Valuations across some parts of the credit market could look stretched
New research report titled ‘Multi-Asset Investing: A Difficult Sport’
Are there longer-term risks to the seemingly benign inflation picture?
Bond income bounce is allowing multi-asset managers to shift their portfolios
Multi-Manager Asia & Emerging Markets and Strategic Bond funds red-flagged over poor performance
Firm reveals asset allocation changes in latest review
Investors warned of the implications of rising oil prices
The head of the firm’s investment specialist team discusses AI, the rise in bond yields and a mixed picture for economic growth