The net new issuance of sterling corporate bonds is set to reach a "woeful" £7bn for 2015, according to JP Morgan Asset Management (JPMAM).
Stephanie Flanders sets out the three key themes for investors
Legal & General Investment Management (LGIM) has appointed professor Paul Sweeting to the new role of head of research within its solutions group.
Simon Chinnery outlines the key risks surrounding DC investment.
Concerns of a Greek default on its €1.5bn (£1.1bn) repayment to the International Monetary Fund (IMF) due by the end of the month are mounting.
As the freedom and choice reforms kick in it is more likely retirees will opt to remain invested in the markets rather than purchasing an annuity. The challenge for the industry is how to provide such products that provide sustainable income through retirement...
PP examines what master trusts could offer the industry to help deliver flexibilities
A quarter of Eurozone sovereign bonds were yielding negative returns in March after the European Central Bank (ECB) began its €1.1trn (£80bn) quantitative easing (QE) programme, figures show.
Adrian Mitchell has been appointed partner and senior portfolio manager at Aon Hewitt's delegated consulting services team.
More than half of asset management firms will not reduce fees for the April charge cap on defined contribution (DC) default funds, according to a poll.