Yield-seeking investors can find opportunities outside the fixed income universe, according to Alliance Bernstein.

Yield-seeking investors can find opportunities outside the fixed income universe, according to Alliance Bernstein.
FSA compares two global mixed-asset products: the Jupiter Merlin International Balanced Portfolio and the Nordea 1 Stable Return Fund.
A number of fund managers have launched mixed-asset products in the Lion City in the past year.
UBS Asset Management’s China-focused multi-asset product has reduced cash holdings since last year, but the manager remains neutral.
FSA compares two mixed asset products: the First State Bridge Fund and the Invesco Asia Balanced Fund.
Despite the recovery in equity markets this year, JP Morgan’s flagship global income fund allocations reflect an environment of slowing earnings growth and rising macroeconomic risks.
Fixed income and multi-asset funds were the most searched for products by Asia’s private banks and wealth managers in March, according to data provided by Fund Info.
Currently the firm’s mixed asset strategies hold more cash than fixed income, according to Craig Moran, London-based fund manager at M&G Investments.
About $105bn flowed out of mixed asset products in Q3, and total net flows from retail investors were down by more than half, according to data from Strategic Insight.
In Asia, first half figures from Strategic Insight show $192bn flowed into mixed asset funds and total new net flows doubled compared to the same period last year.
Part of the Mark Allen Group.