In contrast, equity and ESG strategies suffered significant outflows.

In contrast, equity and ESG strategies suffered significant outflows.
Rising market uncertainty could boost returns for fixed income investors, says the asset manager.
Cash is no longer king as rate cuts approach in 2025.
Strong fundamentals support US high yield bonds, according to AXA IM’s portfolio manager Robert Houle.
The multi-sector fixed income Ucit has an unconstrained strategy.
AllianceBernstein’s global head of investments tells FSA where the firm is focusing resources over the next twelve months.
BlackRock’s annual global insurance report found that most insurers surveyed plan to increase their investments to private assets in the next two years.
Budi Suharto will lead the fixed income team on behalf of affiliate Ostrum Asset Management.
Although recession will be avoided, economies are headed for a bumpy landing, according to Yigit Onat, head of multi-asset, Asia.
The fund manager believes a wave of downgrades is looming as economic conditions weaken, creating an ideal time for a fallen angel strategy.
Part of the Mark Allen Group.