Soared to record levels earlier this month
Psigma Investment Management's investment team has increased its weighting to 10-year gilts and reduced exposure to European equities in order to defend against the increasing likelihood of the UK's departure from the EU.
As events such as the forthcoming EU referendum contribute to market uncertainty, managers tell Investment Week in this special two-part feature where they are finding the best uncorrelated assets that are helping their portfolios achieve 'true' diversification...
Hardeep Tawakley takes a closer look at the evolution of specialist funds and speaks to buyers about their favourite offerings.
Following calls to 'sell everything' last month as markets continue to flirt with bear territory, industry experts tell Investment Week where they remain invested, the areas to avoid and, most importantly, why the market slowdown is not a new crisis in...
For first time since 2011