Nordea AM’s Claus Vorm: No equities sell-off triggered by US election but yields could rise
Policy impacts ‘more predictable’ than in 2016
Policy impacts ‘more predictable’ than in 2016
Royal London took fourth place and Man GLG fifth
As the uncertainty around stocks and bonds has continued this year
To carry out regulated fund management activities
In a bid to grow its offering in the savings market
Market is ‘not all doom and gloom’ despite challenges
Swiss group names head of client solutions, as wealth manager bolsters UK financial planning offering
Making asset allocation decisions based on macro calls is a ‘flawed investment approach’
They will look to improve client suitability assessments
Renewable energy, asset financing and music streaming are playing an important role in fund strategies
Deal adds around €12bn in assets under management
‘Market concerns of tighter monetary policy have not really had an adverse impact on credit so far’