Investors have encountered experienced several periods of severe market turbulence since the global financial crisis – most notably the European sovereign wealth crisis, the ‘taper tantrum’, and the initial stages of the Covid-19 pandemic.
Magellan AP Distribution Barometer
Global Sustainable Value a best-seller
‘New macroeconomic regime’
Appetite for real estate leads the way
Managed Funds Association report
New funds struggle to stand out
Uncorrelated Strategies fund