European Equities - Latest News
Why bond market uncertainty is making investors itchy
Franklin K2’s Brooks Ritchey reveals where investors should put their money while they wait for yields to rise.
Top long/short equity PM reveals ‘recovering value’ play
Liontrust’s James Inglis-Jones on where to finding pockets of recovering value.
Selection chief reveals best European fund bets
Morabanc’s Juan Hernando reveals his biggest challenge and bets fund picks.
French fund selector: the most revealing asset class for 2018
La Française’s David Tissandier says a clear asset allocation focus is key for the year ahead.
AAA-rated PM: it’s all about alternatives
Loys’ Ufuk Boydak says investors are too focused on bonds and less risky assets, but that the appeal of alternatives is rising.
Selector 100: Amundi's Valvona picks apart passives
Head of fund research and manager selection highlights how the team is using passives.
Multi-management head: the problem with successful strategies
Banque de Luxembourg Investment’s Fanny Nosetti says there is not enough choice in the market.
Vontobel EM outperformer: why we’ve dramatically cut tech
VIDEO: Roger Merz reveals why his team has dramatically cut their tech exposure in portfolios.
How cash is making a comeback for bond fund buyers
Investors at Citywire Selector’s first fixed income event reveal their main concerns.
Investors are too complacent, says L/S equity outperformer
Liontrust’s James-Inglis Jones says investor anxiety levels are at a low point.