Funds & Fund Managers
|Average Manager Total Return : -0.4% (31 January 2017 - 31 January 2018)|
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|Managers with less than 12 months history are below. View 1 month performance|
NAFTA deal too risky for EMs, Asian bonds
Fixed income experts from Schroders and Loomis Sayles discuss why NAFTA is risky for emerging markets and Asian bonds
GAM fund managers bullish on four big themes
Specialists at GAM highlight the top plays in the investment space for 2018
How we invest in India, China: Morgan Stanley IM
Capital controls in India is making it difficult for foreign investors to invest in the domestic bond market, says CIO
What’s really powering Pimco’s $54bn Income fund
Citywire Selector speaks to Alfred Murata about the rise of Pimco's new power player.
ECB manager reaction: brace for volatility
Bond managers react to the latest ECB meeting.