‘You need to actually focus on the problem’: Trium’s Mares on improving high-emitters and sustainable shorting
ESG Emissions Improvers fund plays the dispersion between high-emitters who can adapt to more sustainable practices and those that cannot
ESG Emissions Improvers fund plays the dispersion between high-emitters who can adapt to more sustainable practices and those that cannot
Hilary Blandy explains how she is steering the Jupiter Monthly Income Bond fund towards smooth performance through today’s volatile macro conditions
The chairman of Kermitted Asset Management reflects on the FCA’s latest attempt to impose order on what we are currently calling sustainability
China investors watch on with growing concern as the world’s second-largest economy slips into deflation and the hoped-for stimulus remains elusive
CS Investment Managers’ Robert Darling believes collaboration between competitors on regulatory change is a must if the industry wants to punch above its weight
As more and more long-serving managers hang up their spreadsheets, DFMs and wealth managers surmise what the future of asset management will look like
King & Shaxson’s client relationship manager on why investing is better placed than ever to make a positive impact and why we need more transparency from fund providers
Digitalisation has underpinned the growth of the world’s most populous nation
Premier Miton US Opportunities co-manager explains how a focus on the less glamorous side of the American market is such a compelling offering in today’s climate
Indonesia is starting down an exciting economic development path so its companies should enjoy a natural tailwind, argues Emily Fletcher
The talent pool is being held to ransom over gaps on CVs when it comes to returning to work
Alessia Berardi, head of emerging macro and strategy at the Amundi Investment Institute, encourages investors to look afresh at the opportunities on offer in India