FSA compares the BGF World Energy Fund and the Schroder ISF Global Energy Fund.

FSA compares the BGF World Energy Fund and the Schroder ISF Global Energy Fund.
Pinebridge hires, so does Julius Baer; St James’s Place loses; Property in Singapore; Who wants the job?; Staggering stock market statistics; Poor financial advice; advertising and much more.
Alternative investment funds, many of which are descendants of the risky hedge funds from a decade ago, are increasingly in demand as risk-management tools, according to Simon Godfrey, head of product management at EFG Bank.
Trade tensions and a strengthening US dollar have hit Asian equity markets, but Raymond Chan, Hong Kong-based chief investment officer for Asia-Pacific equities at Allianz Global Investors explains why he remains positive on the asset class.
Finance and banking marketing directors earn way more than industry peers; Schroders’ WFOE installs fixed income manager; Aviva Investors creates Asia head of institutional sales role; institutional investors to raise emerging market debt exposure; Ostrum AM shuns tobacco investments; and more…
Bringing a Ucits fund with an Asia strategy to Europe for distribution is not the best way to enter the market, according to Hendrik Von Ripperda-Cosyn, Value Partners’ London-based country head and senior director for EMEA sales.
Funds managed by bottom-up stock-pickers are performing well in China’s volatile markets while momentum-driven funds are at the bottom end, according to data from FE Analytics.
A history of delivering consistent returns doesn’t mean much if the fund manager has not remained true to his stated process, according to the CIO of Oreana Private Wealth Isaac Poole.
It has been one year since FSA invested a hypothetical $1m with three robo-advisors operating in Asia. Did they beat their benchmarks? We summarise the one-year performance.
Companies pioneering autonomous vehicles and electric cars need to reassure fund managers they will keep solid R&D commitments through tough times, according to George Saffaye, global investment strategist at BNY Mellon Investment Management.
Part of the Mark Allen Group.