There are 25 item(s) tagged with the keyword "multi-asset".
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As well as saving you time and money, CIP outsourcing could help you mitigate risk.
Inflation is moving in the right direction and the US is seemingly at or near peak interest rates. What about the UK and Europe?
The Bank of England is suggesting inflation is becoming embedded in the UK so rates may stay high for longer; possibly at their current level for two years. Could it be that the Bank has got it wrong? Steven Bell, Chief Economist EMEA, explains why he thinks this may be the case.
How do passive multi-manager funds stay in line with client needs?
Aegon AM’s Head of Macro Strategy Frank Rybinski (CFA), shares his insights on what he expects the Fed to do next and the monetary outlook for the remainder of 2023. Frank also discusses how he feels investors should position themselves for the environment ahead.
They think it’s all over
This note provides an overview of the main developments within our diversified income strategy in 2022 and how we are positioned for 2023 and beyond.
There is no use predicting market turns or keeping your eye on the price index. For the medium-to-long-term investment period we recommend, it is high time to put together a strong, diversified portfolio – while keeping a portion of liquid assets.
Inflation has reached its highest level in over 40 years. Russia’s invasion of Ukraine continues to drive up global energy and food prices. Ongoing supply-chain bottlenecks and rising labour costs are also boosting inflation. The question for investors is – which strategies might fare best if inflation persists?
Today, half of the articles in investment magazines seem to be about ESG and climate. In our experience, however, very few funds are actually designed with a clear climate goal. We believe this is a missed opportunity.
Displaying: 1 - 10 of 25