Asbjørn Trolle Hansen believes investors need to steer clear of making macro calls this year
Improved prospects for growth and inflation mean investors should look to invest more in risk assets according to Schroders.
European pension plans regard Brexit as a headwind for global growth according to a report by CREATE-Research and Amundi.
Asbjørn Trolle Hansen says managers should beware of positioning portfolios based on predicted results of major events.
Recent research from Cerulli Associates shows improving the quality of DC default funds is a major priority for the industry across Europe. Helen Morrissey looks at how this might be done.
Diversified growth funds are in the spotlight after disappointing 2015 performance and concerns they've led DB schemes to miss out on good equity returns in previous years. Stephanie Baxter hears concerns about the popular universe
Claus Vorm asks what role duration plays in multi-asset portfolios and what are the alternatives?
Mix of in-house active and passive
Recent research from Schroders shows multi asset managers need to communicate more effectively with clients. Helen Morrissey takes a look at some of the results.
'Drawdown isn't always the best option for clients'
The multi sector credit market has doubled in the past three years to £96bn as schemes seek higher yields in the low return environment, according to Punter Southall Investment Consulting.
PP looks at research arguing some DGFs may not be all they seem