Neuberger Berman CIO says investors should reorient portfolios for a more “two-way investment environment”.
Category: Multi-asset
HSBC launches sustainable multi-asset fund
The fund invests in eight asset classes across 50 countries.
Ten market themes to watch
Investors should continue to monitor US interest rates and Chinese regulatory policy, said T Rowe Price.
M&G favours fixed income and infrastructure
The asset manager recommends hedging inflationary risk with the two asset classes.
Investors shift to mixed asset funds amid equity volatility
Hong Kong and Singapore investors became more cautious in the second quarter, according to Morningstar Direct.
Capital Group makes US strategy available to Asian investors
The 45-year old multi-asset fund focuses on US equities and fixed income.
NNIP urges portfolio caution
Fixed income and equity portfolios need to prepare as question marks emerge over economic growth, according to NN Investment Partners (NNIP).
Mid-cycle expansion benefits equities
Investors need to make careful stock choices to capitalise on the current attractive backdrop for growth-oriented assets, according to Pimco.
Pinebridge backs developed market recovery
Rising vaccination rates and supportive fiscal policies should underpin risk assets, despite inflation fears.
Asian equities face inflation balancing act
With inflation pressures expected to weigh on the post-pandemic recovery, investors need to consider policy direction when targeting Asian equities, according to Axa Investment Managers (Axa IM).