Actively investing across multi-sector fixed income can help mitigate volatility during macro uncertainty, according to Michel Kageshima, portfolio strategist at PGIM Fixed Income.

Actively investing across multi-sector fixed income can help mitigate volatility during macro uncertainty, according to Michel Kageshima, portfolio strategist at PGIM Fixed Income.
SSGA, Janus Henderson and GAM say the asset class should benefit from the Fed cutting rates.
FSA highlights five funds that have top-ranked returns and low volatility over the past five years.
After a rough ride during 2021 and 2022, the PGIM Jennison Global Opportunity fund is outperforming in 2023.
The managers of the Arcus Japan fund speak to FSA about the fund’s performance and the ongoing market reforms in Japan.
Stephen Allan has been appointed head of Australasia private credit at BlackRock’s Global Private Debt business.
Although markets believe a soft landing is now in sight, what does that mean for the ‘last mile’ for inflation conquest?
FSA highlights five US equity funds that have top ranked returns year-to-date after two consecutive years of underperformance.
Christina Wong, Jane Li and Ian Campbell have joined the firm’s Hong Kong office.
Ninety One’s head of multi-asset income John Stopford says that the supporting factors that prevented a recession are fading.
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