Should investors increase allocations to fixed income?
Avoiding the traps in the asset class was the ‘biggest bullet to dodge in 2022’
Avoiding the traps in the asset class was the ‘biggest bullet to dodge in 2022’
They could be ‘buying the dip in the face of relatively straightforward central bank policy’
Asset allocators need to be ‘more creative’ than relying on the 60/40 model
Britain ‘well placed to capitalise on the new world of higher rates’
‘You either let omicron spread, or the supply chain collapses or at best comes under unprecedented pressure’
It is ‘proving to be a bit more persistent and higher than many expected’
‘BoE may have no choice but to raise rates, which could be bad for the bond market in the short term’
Boosting assets under management to £3bn
Its influence is growing but diversification remains vital, says one investment manager
Lack of retail interest in asset class ‘is interesting as it goes against’ the institutional market
Long-standing aversion driven by ‘myth’ that they act as a detractor to multi-asset portfolios
But the firm’s investment director remains positive on the sector and ‘particularly optimistic’ on income funds