FCA to widen wealth manager and retail access to bonds
Proposals aim to reduce costs and barriers for companies raising capital, while improving opportunities for retail investors
Proposals aim to reduce costs and barriers for companies raising capital, while improving opportunities for retail investors
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AJ Bell releases 2025 strategic asset allocation
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Aviva Investors has hired Fabrice Pellous as the firm’s new co-head of global high yield
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November sees £1.6bn in inflows
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Excitement around AI is forming a potential bubble that could do permanent damage to investor’s capital, writes Konstantin Leidman
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The US, alternatives, fixed income and unloved assets all have the potential to disrupt markets in the coming year
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PGIM’s head of international distribution is tasked with extending the US intermediary’s reach across Europe, the UK and Asia
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US equity allocations relative to the rest of the world are close to the most stretched in over 25 years
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Fidelity Strategic & Flexible Bond portfolio managers Mike Riddell and Tim Foster share their outlook for 2025
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Majority of investors are currently underweight fixed income, according to Managing Partners Group
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Paul Grainger joins Neuberger Berman after departing Schroders last year
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