Investors should keep in mind the long-term appeal of Asia and take a patient, disciplined approach to capture quality, according to Fidelity.
Category: Asset managers
abrdn favours high dividend stocks
Economic recovery and higher cash levels will boost dividend pay-outs this year, believes the asset manager.
Asia poised to drive sustainable debt
Issuance in emerging and frontier markets surged to US$120bn in the first half of 2022, with Asia set to lead further growth going forward, according to Eastspring Investments.
What did Q2 earnings season tell us about the economy?
Sceptics warn better-than-expected numbers do not reflect inflationary pressures.
Pimco positions for new income sources
The US asset manager sees the recent sell-off as a good opportunity to generate income by adding back some credit and interest rate exposure in more resilient parts of the yield curve.
Investors to strike more balance to mitigate recession
In trying to navigate uncertainty over both inflation and growth, Schroders believes a diversified portfolio is the best approach for the coming months.
China offers diverse appeal for bond investors
The search for diversification should lead global investors to boost their allocation to China bonds, according to State Street Global Advisors (SSGA).
High yield bonds show resilience to recession
High yield debt seems to be better placed to navigate a recession than in the past, according to T Rowe Price.
BNY Mellon favours exposure to electric vehicles
The industry will be further boosted by product innovation and government efforts to drive sustainability, according to the asset manager.
Investors cautiously optimistic on China stocks
Economic recovery and stimulus measures offer a supportive backdrop for Chinese equities. But Barings warns investors that volatility could remain in the near term.