What Trump means for real assets: focus on five sectors
Real asset specialist Cohen & Steers uncovers how higher inflation under a pro-growth US President could impact returns.
Five fund buyers on best ways to play the banking sector
In the second part of our professional insight into financials, leading asset allocators name the managers to watch and areas to avoid.
Five post-Brexit lessons for bond investors
AllianceBernstein’s John Taylor says the post-vote fallout has taught investors valuable lessons when it comes to market shocks.
Minus zone: five top investors look for positives in negative world
Citywire Selector canvassed investment specialists to find out if any upside potential can be found amid the negative rates trend.
Hasenstab: LatAm holds ‘tremendous potential’ over next decade
Blockbuster bond manager believes the region is entering a 'really exciting era' and welcomes its recent political course change.
Fund liquidity mismatch: five key takeaways from Fitch’s report
The ratings agency warns of the huge risks lying in the bond market and outlines ways in which to conquer them.
Four myth busting reasons why EM corporates are on the rise
Insight Investments' Rodica Glavan says investors are overlooking the opportunities presented by emerging market corporate debt.
Henderson & Janus Capital announce mega-merger
Investment firms to unite to form company with around $320 billion in assets under management.
US equity head exits Neptune
Investment firm announces changes in roles as lead manager of the Neptune US Income fund departs with immediate effect.
The top five factors impacting today’s global markets
Franklin Templeton’s Matthias Hoppe gives his verdict on the five top factors affecting global markets