Latest News - Chris Sloley
What Trump means for real assets: focus on five sectors
Real asset specialist Cohen & Steers uncovers how higher inflation under a pro-growth US President could impact returns.
Opting out of Optimal Income: what’s going on with Woolnough
Citywire Investment Research takes a closer look at what is driving outflows from the blockbuster manager’s flagship fund.
Multi-manager scraps Walewski & Renaud amid fund ‘evolution’
Boutique managers dropped from ‘best ideas’ strategy against backdrop of investment changes to 10-year-old strategy.
Health check: how Performance Clinic candidates have fared
Citywire Selector rewinds to the start of 2014 to see how five top managers have responded to periods of underperformance.
M&G’s Woolnough returns to equities in €17bn fund
Industry veteran adds stock bets to primarily bond-based blockbuster strategy to capitalise on relative value.
Hasenstab: ‘horrific’ lessons have hardened EMs
Blockbuster bond manager believes developing world is finally heeding the lessons of the Asian and Tequila crises.
Woolnough brushes off Brexit as ‘just another event’
Blockbuster fund manager says chaos is nothing new and the focus now falls on whether eurozone can absorb the fallout.
The five most improved Europe Ex-UK equity managers
With Brexit posing a huge financial headwind for the region, Citywire Selector uncovers the sector specialist risings up the rankings over the past year.
Diment’s diagnoses: three EM markets to watch… and one to avoid
Aberdeen AM’s EM sovereign and debt head reveals how major market moves are playing out in the developing world.
M&G’s Isaacs: why the ECB got it wrong on stimulus
The corporate bond manager believes the central bank put too much trust in peripheral nations to reform and should have acted sooner.