What do the conflicting signals of the bond market mean for investors?
Valuations across some parts of the credit market could look stretched
Valuations across some parts of the credit market could look stretched
Almost half of the UK equity market has bought back shares over the past 12 months
Gravis’s Bill MacLeod explains how a FinDaTex tweak could prevent double-counting of investment company costs
The trust sector has seen increased M&A in recent times, while investors have highlighted concerns over illiquid, sub-scale funds
Cash-strapped governments around the world are balking at the cost of green measures
Portfolio Adviser speaks to fund selectors about what the future of property investing will look like
The economist and author discusses return opportunities and risk mitigation
Emerging market growth is becoming increasingly dependent on fundamentals
The sector looks set to thrive again this year after a strong 2023, but there is more to tech than just AI
Speculative-grade debt is accounting for a growing share of upcoming maturities, expected to rise four-fold by 2028
Institutional investors urged to play a more proactive role in boosting the UK stockmarket
Are there longer-term risks to the seemingly benign inflation picture?