Funds & Fund Managers
|Average Manager Total Return : 12.5% (31 May 2015 - 31 May 2018)|
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The three bond sectors seeing the biggest inflows in May
With uncertainty surrounding fixed income, which sub-sectors did investors flock to last month?
JPM’s Stealey: why we’re negative on govvies
VIDEO: Bond investor says he’s short risk in government duration in global opportunities fund.
Columbia Threadneedle hires ex-Pictet HY head
The new hire rejoins the asset manager after spending six years at the Swiss group.
Why JPM’s Stealey is favouring US high yield
Citywire + rated manager says Trump's tax package will power sector.
Long on bonds: which PMs should Woolnough be worried about?
VIDEO: We uncover the managers fighting hard in the sector dominated by Optimal Income.
M&G announces major Lux assets shift of €39bn ahead of Brexit
Firm transfers the non-sterling share classes of 21 of its UK-domiciled OEIC products.
Invesco hires ex-Schroders PM for Isaac's team
Citywire + rated manager exits Schroders to reunite with former colleague.
Nine selectors’ short-term strategies and long-term favourites
With cash piles rising, how do investment professionals respond to sudden market shifts?
Wising up on Woolnough: in-depth on Optimal Income
Richard Woolnough has had a lot of success but he’s also no stranger to adversity. Dr. Nisha Long takes a forensic look at the manager’s track record.
Bond manager Mawby exits Man GLG
Co-manager to assume sole responsibility as senior investor departs.