Higher real rates in the coming years might favour value stocks
In this article, we outline what the money markets are, how to access them and why investors with a short investment horizon should consider using them as a means of making the most of their cash.
It’s the economy that matters for US presidential elections and stocks
Aegon Diversified Monthly Income Fund co-manager Debbie King reflects on how the fund has achieved a decade of consistent income delivery in an ever-changing macro environment.
Is it time to abandon emerging markets?
More from Capital Group on moving cash off the sidelines
FSSA Portfolio Manager Vinay Agarwal discusses accessing India’s growth by embracing the nuances of a dedicated India strategy.
Except for US regional banks, fundamentals across the banking sector are the strongest they have been in decades, yet the sector trades wide of the broader corporate bond market. Does this represent an opportunity?
James Hanford, Analyst and Portfolio Manager at COMGEST shares insights on how the team at COMGEST identify quality growth, how they approach and understand risk in quality businesses, why they are sector agnostic and why quality growth investing is in the firm's DNA.