Mark Nash, head of fixed income, weighs a new volatile environment for investors.
Why investment is best undertaken by a systematic approach and by looking carefully at the data, says Ian Heslop of...
As the US and eurozone central banks begin unwinding their unconventional monetary policies – involving purchasing unprecedented amounts of bonds...
It is an age-old conundrum for investors. Should value stocks – shares that typically trade at lower prices relative to...
Emerging market debt went through a long overdue correction in February, but the overall macro story remains very supportive of...
Nick Payne looks at the reasons behind the profits recovery in emerging market equities and asks, ‘is it sustainable?
Spring is in the air. Wakened from their cosy lethargy of the long winter months, Mother Nature’s ‘green shoots’ are...
All is not quiet in equity markets, and investors need to be aware of hidden risks.
The sharp correction in equity markets in early February 2018 has reignited the debate over what moves markets: rational economics...
In this note, the manager looksat correlations between globalequities, and gold and goldequities, during five periods of sharpstock market falls.