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All the articles related to portfolio’s allocation

Articles

May 2017

Note BofA Merrill Lynch May Fund Manager Survey finds investors are bullish; macro expectations of high growth and low inflation at record high

China replaces European disintegration as the most commonly cited tail risk for the first time since January 2016, with 31% of global fund managers citing Chinese credit tightening as the biggest risk in the market

May 2017

News European ETF Market Trends - April 2017 in brief

European ETF market flows slowed down substantially in April 2017. Net New Assets (NNA) during the month amounted to EUR4.4bn, the lowest since December 2016. Total Assets under Management are up 11% vs. the end of 2016, reaching EUR572bn, including a positive market impact (...)

May 2017

Note The Robo Report™, First And Only Report On Robo Advisor Performance And Portfolios, Published By BackenDBenchmarking Now Available

Schwab Falls Off Leaderboard on Equity and Fixed Income, Vanguard Improves Equity; International and Emerging Markets Lead the Way For Performance in Q1 Report

May 2017

Strategy How can we extract value from bond markets?

According to Pascal Gilbert, Head of Fixed Income, La Française, Bond markets are facing historically low yields, and this ongoing situation leaves, in theory, little room for a further appreciation in bond prices.

April 2017

Opinion French Elections: What would Macron’s victory mean for markets?

According to Philip Dicken, Head of European Equities and Francis Ellison Client Portfolio Manager, European Equities at Columbia Threadneedle Investments, if Emmanuel Macron were elected, the environment would suit active investors and reinforce their potential to find (...)

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