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?
From Carmignac’s UK headquarters in the heart of St James, Mark Denham manages the FP Carmignac European Leaders OEIC and its sister SICAV strategy classified Article 9 under the SFDR regulation, with a combined AUM of c.€960m (as per 03/05/24).
BoE; FCA; Concord: The biggest stories from the world of investment and asset management this week
There are five factors that make a strong case for emerging markets in a global fixed income portfolio.
Artemis’ Raheel Altaf reveals how he is buying high-quality companies on a discount to the market.
With interest rate cuts from central banks on the horizon, investors may want to consider moving some cash exposure to the natural first step: short dated high quality corporate bonds, says Ben Deane, Investment Director, Fixed Income - Fidelity International.
Fed; RLAM; FCA: The biggest stories from the world of investment and asset management this week
Higher bond yields and strong levels of dividend growth mean income-bearing assets currently offer investors an excellent opportunity.
More from Capital Group on moving cash off the sidelines