In the latest 60 second video, European and UK fixed income manager Mike Scott reveals the three factors behind his optimistic outlook for European credit for the remainder of 2015.
Rick Stathers provides an overview of this quarter’s Responsible Investment Report.
Matt Hudson, Head of Pan-European Business Cycle, explains the shift in the focus of equity investors in their hunt for yield.
Massimo Tosato, Executive Vice Chairman of Schroders plc, looks at the disconnect between investors' expectations and behaviour highlighted by the Global Investment Trends Survey.
Rajeev De Mello, Head of Asian Fixed Income, looks at how falling inflation and a strong US dollar are impacting Asian bonds and currencies.
When will interest rates in the US and UK be going up? Marcus Brookes explains why his expectations have changed.
While a strong US recovery and falling oil prices are supportive of global equities, concerns in Europe and some emerging economies may weigh on sentiment.
In 2015 we see a mixed weather front across multiple asset classes and regions, with diverging monetary policy and stretched valuations.
Philippe Lespinard forecasts a mixed outlook for bond markets across the globe.
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