Volatility ahead as central banks tighten: Pendal Group
Debt and quantitative tightening will cause world markets to suffer, Pendal income and fixed interest expert Vimal Gor has said.
Debt and quantitative tightening will cause world markets to suffer, Pendal income and fixed interest expert Vimal Gor has said.
Demand for fixed income absolute return strategies should drive managers to broaden their capabilities, Mercer Investment’s Sue Wang says.
Debt assets can be a hedge against equity risk but only using high-quality government bonds, Whitehelm Advisers’ Debbie Saunders says.
Cbus’ chief investment officer Kristian Fok has said the fund’s internal expertise brings it closer to the market to better access deals.
Helping Australians get the best outcomes in retirement requires a commitment from the system to supporting good member decision-making.
New Zealand Super acting CEO Matt Whineray was named to the position permanently on Tuesday. Mark Fennell is now acting CIO.
Industry stakeholders are employing a variety of approaches to tackle the stubborn problem of how to increase diversity.
Investment manager seeds strategy with $135 million to produce high-volatility option in alternatives.
LGIAsuper’s new chief executive talks maintaining old values through new innovations, and the impact of the Productivity Commission.
MSCI’s inclusion of small and mid-cap China A-Shares in its Emerging Markets Index is dependent on the experience with initial large caps.
Return per unit risk has fallen for core assets worldwide – and especially in the US, Morningstar capital markets head Philip Straehl says.
Philip Chronican talks about his 35 years of experience, including as the head of ANZ, and now on the board of NAB and chair of TCorp.