Equity volatility is not a turning point, claims Russell Investments....
AXA IM’s Craig Hurt said a “great rotation” out of bonds and into equities could leave retirees on the wrong end of a big global trade....
Currencies need to be managed separately when investing in emerging market fixed income, according to Adrian Lee and Partners, due to the volatility of bond markets....
London-based investment manager Stratton Street Capital will bring its international bond fund to Australia, with Equity Trustees acting as responsible entity....
More than half of global fund managers continue to favour equities with a preference gaining ground for Asia Pacific ex Japan stocks, according to second quarter results ...
Investors will continue to shift from bonds to equities following a strong reporting season, according to Dalton Nicol Reid....
"Post-traumatic stress syndrome" following the global financial crisis (GFC) has created some of the best buying opportunities since the tech bubble of the 1990s, accordi...
For the remainder of 2012, global managers remain neutral on both bonds and equities as they broaden their search for higher yield in a low growth environment....
Investors can no longer rely on credit agencies to give effective insights on government bonds in the wake of the global debt crisis....
CIOs are expecting international and domestic equities to outperform fixed income, according the Financial Services Council's latest CIO Index....
BlackRock said the likelihood of global stagnation has increased for the second half of the year....
Many passive bond indexes are not well suited to an economic environment in which debt problems are more predominant and fiscal policy is stifling growth....
From my perspective, 40- 50% of people are likely going to be deeply unhappy about how long they actually live. ...
Super director remuneration ...
No doubt true, but most of it is still because over 45’s have been upgrading their houses with 30 year mortgages. Money ...