While we’re back to the 1990’s and early 2000’s in terms of the political regime, Fidelity portfolio managers argue it is also back to this period for the bond market as well. And with the election noise fading, they explain why fundamentals and valuations will once again drive bond markets.
Dividend investing has gained prominence, and it’s essential to navigate this golden period effectively.
In this Q&A, Rory Sandilands, co-manager of the Aegon Global Short Dated Climate Transition, Aegon Absolute Return Bond and Aegon Investment Grade Bond strategies says recognising opportunity in companies positioned for a sustainable future requires a forward-looking inclusive framework that spans industries.
Alliance Trust and Witan; River Global; Close Brothers AM: The biggest stories from the world of investment and asset management this week
How much impact will AI have on the sector?