The $7.5 billion Magellan Global fund is exploring increasing its weighting to China as it believes its re-opening will lead ...
Cash levels by fund managers have continued to fall, reaching 5.3% in January, while allocations to US equities have “collapsed” ...
The largest headwind to the global economy is the threat of recession in the US, according to abrdn, and is ...
Vanguard has forecast the probability of recession in major developed markets over the next 12 months, with one region having ...
As the pandemic dragged on for a second year, which global market best navigated the uncertainty and volatility?
While multiple regions are facing a slowdown in growth, differences in macro factors mean some will fare better than others, ...
The relationship between China and Australia is at its “lowest point in history”, according to Australian National University’s Professor Jane ...
The composition of asset classes may be impacted more by climate change than expected returns over the next five years, ...
As the US announces a US$1 trillion infrastructure bill, many infrastructure funds are offering investors double-digit gains.
In financial markets, excitement drives headlines. Equity markets rise, fall, and recover — creating stories that capture attention. Yet sustainable...
Winner of Executive of the Year – Funds Management 2025After years at Goldman Sachs and Credit Suisse, Jonathan Belz founded...
Cryptocurrency liquidity has become a cornerstone of sophisticated wealth management strategies, with real-time settlement capabilities revolutionizing traditional investment approaches. The...
In this episode of Relative Return, host Laura Dew chats with Roy Keenan, co-head of fixed income at Yarra Capital...
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© 2025 All Rights Reserved. All content published on this site is the property of Prime Creative Media. Unauthorised reproduction is prohibited