Investor group launched alongside engagement with four banks
The high yield market has seen significant shifts over the last few years. After a period of low borrowing costs, high interest rates have created a new environment. While strong companies are finding opportunities, riskier issuers could face challenges, says Azhar Hussain, Head of Global Credit, Royal London Asset Management.
Investment managers look at the impact of last year’s LDI crisis from a macro and asset class angle
Peter Rutter, Head of Equities at Royal London Asset Management, shares how his Global Team’s approach to portfolio construction helps them build portfolios that have the potential to weather multiple market conditions.
Shalin Shah and Martin Foden explore the inefficiencies, risks, and opportunities that elude many investors in the securitisation market
After a turbulent year, RLAM's Piers Hillier discusses whether 2023 will be a turning point for markets
The firm added the short duration fund to its Sustainable Investment range
Strategy aims to provide access business that can benefit from the sustainability transition