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17 June 2022

Jim Griffin

Investment Content Manager

Market Monitor – 17 June 2022

Recent losses have intensified as stock markets around the world endured one of their toughest weeks of the year so far. With investors focusing once again on central bank attempts to curb rampant inflation, this week’s key events were policy decisions from the United States Federal Reserve, the European Central Bank (ECB) and the Bank of England (BoE) – in each case, however, officials offered little in the way of positive news.
Read time - 2 min
3 August 2021

Credit Threads #1: Financial conditions

In the very first episode of our new fixed income podcast, Credit Threads, our bond specialists discuss how central banks respond to financial conditions, how they impact fixed income investing and how fund managers factor financial conditions into their decision-making.
Listen time - 30 min
12 March 2021

Colin Moore

Global Chief Investment Officer

Relationships are not easy: US equities versus Treasuries

As the economy recovers and cyclical stocks begin to outperform, we look at the connection between equities and US Treasury yields.
Read time - 5 min