In the second of a two-part series, fund managers reveal how global central bank decisions are impacting investors and their strategies.
Follows fines for advice failings
National obsession with house prices leads pontification on the demand outlook but the supply-side of the industry is where the real story is, argues Santander's Stephen Payne.
Offshore strategy brought to UK
Revises overweights and underweights
Group responds to client demand for income
Pioneer Investments has reached an agreement to merge with Santander Asset Management, creating one of the largest European asset management groups by AUM.
An improving performance trend for European assets versus US assets is a key theme investors should be focusing on currently, says Toby Vaughan, head of fund management - global multi-asset solutions at Santander Asset Management UK
Graham Ashby former head of UK equities at Ignis Asset Management, has replaced Richard Moore as manager of two equity funds at Santander Asset Management.
Gilts have continued to surprise the market with stellar returns, but should investors expect a sell-off this year?