Meanwhile, Nick Payne, Jupiter’s lead investment manager for global emerging market equities, will be leaving the business at the end of this year.

Meanwhile, Nick Payne, Jupiter’s lead investment manager for global emerging market equities, will be leaving the business at the end of this year.
The lead manager of Robeco’s $1.1bn Emering Markets Equity strategy shares his views on India, China and broader emerging markets with FSA.
As investors weigh the implications of the US election on emerging markets, Putnam Investment’s Brian Freiwald is bullish regardless of the outcome.
Lazard Asset Management’s third-quarter outlook makes the case for both emerging market equities and debt.
The wealth manager’s confidence in global high yield and global EM equities has lowered.
In a falling interest rate environment, investors neglect ignore the attractions of emerging markets at their peril, according to JPMAM strategists.
The asset manager’s investment institute prefers Mexico and India, but remains cautious on China.
Investors should use real yields as a guide for allocating into fixed income as central banks diverge on rate cuts.
Asset managers reduced their cash holdings for the second consecutive month, according to the State Street Global Markets Risk Appetite Index.
SSGA, Janus Henderson and GAM say the asset class should benefit from the Fed cutting rates.
Part of the Mark Allen Group.