Funds & Fund Managers
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.
How to get the best out of Europe's banking rebound
Top PMs discuss how Europe measures up across fixed income and equities.
The 'reverse Yankee' revival and HY hedging opportunities
T Rowe’s Mike Della Vedova debates what’s hot and what’s not in the European high yield space.
Two top bond strategy PMs' high conviction calls
Invesco’s Joe Porterra and Western Assets Ken Leech on EMD and European banking exposure.
Why volatility is key for selectors eyeing Alt Ucits bond strategies
Bond strategy PMs discuss the important elements selectors should focus on when choosing strategies.
AAA-rated Lundie unlocks credit's hidden gems
Hermes flexible bond manager reveals pricing potholes and sector sweet spots.