Hedge funds, Saba, and Hargreaves Lansdown: The biggest stories from the world of investment and asset management this week
Gilts have been in the spotlight as part of the recent global bond selloff, with many market narratives surrounding the latest turmoil. Fidelity fixed income portfolio manager Shamil Gohil outlines the causes of the volatility, possible paths ahead and how we are positioned in this environment.
India's diverse and rapidly growing economy, bolstered by a strong domestic market and strategic geopolitical position, is reshaping the global economic landscape, says Vikas Pershad, India Portfolio Manager, Asia Pacific Equities Team, M&G Investments.
Insight from Investment, Talks Outlook 2025
Rachel Reeves, UK labour market, and Saba: The biggest stories from the world of investment and asset management this week
In this interactive video, choose a Royal London Asset Management expert and hear them discuss how asset managers identify suitable investment opportunities that meet with clients’ values without sacrificing value.
Active bond managers have historically given investors an advantage over their passive peers
The ongoing global government bond selloff has pushed 30-year gilt yields to their highest level since 1998, drawing comparisons to the fallout from the Truss government’s 2022 budget fiasco. Fidelity Strategic Bond portfolio manager Mike Riddell explores the key factors driving the sharp rise in bond yields and analyses the implications for UK fixed income markets.
FCA fines, AI investment, and UK growth: The biggest stories from the world of investment and asset management this week