Funds & Fund Managers
|Average Manager Total Return : -2.1% (31 August 2017 - 31 August 2018)|
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|Managers with less than 12 months history are below. View 1 month performance|
Seven bond strategy PMs reveal their best and worst bets
Whether it’s being unprepared for volatile markets or a stock bet that went wrong, these PMs reveal their best and worst bets.
Global income chief: how to tap leveraged loans in a Ucits vehicle
Invesco’s Joseph Porterra discusses how he gets around Ucits regulations on his bond strategy.
Two top bond strategy PMs' high conviction calls
Invesco’s Joe Porterra and Western Assets Ken Leech on EMD and European banking exposure.
Nine selectors’ short-term strategies and long-term favourites
With cash piles rising, how do investment professionals respond to sudden market shifts?
BlackRock hands EMD chief new short duration fund
Asset manager expands developing world focus with new approach.
Three things that threaten safe-haven status of treasuries
Bond manager Arif Husain has doubts over the safe haven status of 10-year treasury bonds.