Funds & Fund Managers
|Average Manager Total Return : 9.1% (30 April 2017 - 30 April 2018)|
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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.
Hasenstab buys $2.25bn of Argentine bonds, reports
Franklin Templeton’s Michael Hasenstab has come to Argentina’s support with a $2.25 billion injection.
Four corporate bond managers hitting the heights this month
Citywire Investment Research counts down the credit specialists posting risk-adjusted outperformance.
M&G announces major Lux assets shift of €39bn ahead of Brexit
Firm transfers the non-sterling share classes of 21 of its UK-domiciled OEIC products.