Tactical deployment of futures and options strategies can provide portfolio protection while maintaining the fund’s thematic commitment, according to a JP Morgan Asset Management macro strategist.

Tactical deployment of futures and options strategies can provide portfolio protection while maintaining the fund’s thematic commitment, according to a JP Morgan Asset Management macro strategist.
How are fixed maturity products vulnerable during extreme global market turmoil?
The multi-billion dollar fund has lifted its cash weighting, reduced equity exposure and trimmed an already low allocation to sub-investment grade credit.
The March sell-off is presenting further buying opportunities in Asian equities, according to Pictet AM.
Allianz GI is the latest to join the trend of launching income-generating mixed-asset portfolios that have Reits as a key component.
Less than half of Greater China funds have outperformed the MSCI China Index and only one is positive year-to-date.
As markets undergo wild swings, there are opportunities in companies with solid balance sheets and structural growth models at depressed valuations, according to Aberdeen Standard Investments.
Extreme market volatility is a time to reaffirm portfolios, says the private bank, which sees a U-shaped recovery in 2020.
FSA compares two European equity products: the Jupiter European Opportunities Fund and the MFS Meridian European Research Fund.
Multi-asset products have gained popularity in most markets across Asia-Pacific, according to a report this week.
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