Candriam’s Niven: How bond investors can thrive in volatile fixed income markets
Bond markets have become more volatile in recent years, but there are opportunities for dynamic investors, writes Jamie Niven
Bond markets have become more volatile in recent years, but there are opportunities for dynamic investors, writes Jamie Niven
European and UK equities lose money in home market
The firm is overweight fixed income versus equities and still favours US assets
Numbers from Lubbock Fine showed holdings dropped from £3.38bn to £3.26bn
After a bumpy start to the year for the gilt market, is a repeat of 2022 on the cards?
November sees £1.6bn in inflows
Enthusiasm for equities did not translate to UK equity funds, which suffered £9.6bn outflows
Latin America plummets over 25% in the year
The US, alternatives, fixed income and unloved assets all have the potential to disrupt markets in the coming year
Investors are expecting either a major upswing or a sharp decline, writes Saxo UK’s Dan Squires
US equity allocations relative to the rest of the world are close to the most stretched in over 25 years
They lost £25.3bn since 2021 but raked in £317m in November once Budget fears receded