Bond squeeze: The rising risk of policy misstep

Turbulence in bond markets has left bond investors nervous and cash piles high, but certainty on a few issues could see investors moving back into the market. Portfolio Adviser speaks with T. Rowe Price fixed income specialist Stephane Fertat about the recent bond squeeze.

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Risk Parity’s Annus Horribilis

Risk parity was one of the worst performing strategies over the last 12 months, making the second highest losses of mainstream categories according to data from pensions consultant Redington. Managing director Dan Mikulskis speaks to Chief Investment Officer about the rare blip for the strategy that has outperformed for a decade.

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EU Signs Sans Greece Are Very Positive: Crockford

Hermes Investment Management Portfolio Co-Manager Tim Crockford speaks to Manus Cranny on Bloomberg Television’s “The Pulse” on the outlook for EU economies, various market sectors and his subsequent thoughts on investing.

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