Stephanie Baxter finds there are concerns over how the performance multi-credit strategies is measured
Multi-credit is the new buzz word for asset managers and consultants. They say these strategies help protect against future interest rate rises and still produce yield as the credit cycle comes to an end....
Daniel J. Graña of Putnam investigates how US's trade war with China will affect emerging market equities
Aviva Investors explains the growth and protection benefits investors gain from real assets
Royal London has announced that group chief executive Phil Loney has decided to stand down by the end of 2019.
Crashing out of the European Union without a deal could cause a 37% increase in the aggregate buyout deficit for defined benefit (DB) schemes, says Cardano.