are likely poised to rebound in the second half, according to Greg Saichin, the chief investment officer for emerging-market bonds at Allianz Global Investors in London , which has $511 billion under management . “For Brazil, the political scandal is.
Britain's largest fund managers face bigger risks from the UK leaving the EU than previously anticipated, with new data showing mainland European investors account for up to a fifth of their assets under management. FT analysis of data from 14 global.
LONDON ... investment strategies are focused on driving the strongest risk management and return outcomes, and alternative private market investments are playing an increasingly important role in those strategies," said Cary Grace, chief executive officer.
Chairman Xavier Musca said he expected Amundi's position as the largest listed asset manager in Europe to be strengthened further by the acquisition of Pioneer Investments, which will come into effect during this year. • Henderson Global Investors.
The Sunday Times Rich List 2017: Boom time for billionaires The Times.
Brazil offers a good example which illustrates the difference between signal and noise in investing. A complete mess from a journalistic perspective, Brazil has been one of the best investments in global fixed income markets and continues to offer an.
Asset managers have not unanimously embraced Greece's return to the debt market this week with the country's €3 billion (£2.68 billion) five bond year issue two-times oversubscribed. The successful sale on Tuesday of Athens' first bond in three years.
Ashmore Group has been discussing emerging markets, HICL talked about infrastructure and Impact Healthcare explained its newly created real estate investment trust. All this structured learning and research ... Even before our managers have passed.
quot;Generally speaking, institutional investors are all looking for long-dated, high-return projects,'' said Daniel Morris, senior investment strategist at BNP Paribas Asset Management in London . "And (One Belt, One Road) should in theory increase the.
JP Morgan Asset Management chief market strategist for UK and Europe Stephanie Flanders says in the long term Brexit is “a bigger deal” for the UK than Trump's election victory will be. She says:“Brexit marked a generational change in the UK's.
NorthStar Asset Management earlier this year was part of a three-way merger with NorthStar Realty Finance Corp and private equity firm Colony Capital Inc. The deal will boost Aon's outsourced chief investment officer ... in London, Aon is a risk management.
Headquartered in London ... management, insurance and reinsurance brokerage, and also provides human resources solutions and outsourcing services to companies in more than 120 countries. The Townsend deal will boost Aon’s outsourced chief investment.
The likes of Franklin Templeton, Aberdeen and Ashmore , the listed asset management companies with substantial exposure to emerging economies, will hope 2016 marked the start of a renaissance. Ashmore , which specialises in emerging market debt, was.
The anomaly that exists between China's economic strength and stock market capitalisation, relative to its index weight, is finally starting to correct.' Jan Dehn, head of research at Ashmore Investment Management , said this move reflected 'a simple.
ICG, the UK-listed asset manager , opened an office in Luxembourg last December and hired five employees. It has also applied for an Alternative Investment Fund Managers license from the local regulator, which ... Schroders, the UK's largest listed.