Funds & Fund Managers
|Average Manager Total Return : -10.6% (31 January 2017 - 31 January 2018)|
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$1.7bn multi-strategy manager: time to tap commodities
Franklin K2’s Brooks Ritchey says recovery-related themes are the place to be.
FoFs star: why we are underweight fixed income
Citywire A-rated manager on how to handle underperforming bond managers.
Buy and hold is no longer an option, says multi-asset chief
Lyxor’s Florence Barjou highlights the benefits of including alternative risk premia in the multi-asset space.
Exclusive: European firms unite for WM boutique
Lux, Swiss and French companies team up to create new pan-European venture.
Active management will survive passive pressure, says selection chief
Bank Nagelmackers’ head of asset management discusses the pitfalls of passives.
AA-rated PM: why we’re still keen on CoCos
EdRAM’s Julien de Saussure says when investing in CoCos, it’s key to understand their complexities.