Craig Reeves, founder of Prestige Funds, answers three questions about his firm’s alternative funds that provide direct loans.

Craig Reeves, founder of Prestige Funds, answers three questions about his firm’s alternative funds that provide direct loans.
Rising interest rates and creeping inflation create a key opportunity to short fixed income, according to Ahmed Behdenna, senior strategist on the multi-asset team at Aviva Investors.
Trade war talk is largely “rhetoric driven by a deal-making president in an election year”, according to Rupert Hope, portfolio manager on the Lazard multi-asset investment team.
The biggest risk in the next 12 months is an overtightening of monetary policy in the US or China, according to investment director Stuart Rumble.
As the long global economic expansion enters the the late cycle, Sebastien Brown, investment specialist shares his views on how to position in global equities.
High growth, rising return companies are often disruptors, which is what Ashish Kochar, co-manager of the Threadneedle Global Extended Alpha Fund, aims to invest in.
Jean Keller, CEO of Quaero Capital, discusses his firm’s value investing strategy that targets family-owned small caps in Europe.
Christophe Machu, investment specialist, explains that the firm’s non-traditional long-only fund exploits the valuation difference between equities and bonds.
Convertibles will be one of the best performing asset classes this year, argues Arnaud Brillois, managing director and portfolio manager, analyst, Lazard Asset Management.
Eoin Walsh, partner, portfolio manager at Twentyfour Asset Management, talks about opportunities and risks in bond markets as the credit cycle continues to mature.
Part of the Mark Allen Group.