Cyrille Geneslay, fund manager at CPR Asset Management, indicates that he has reduced exposure to risky assets from 35% to 26% in a portfolio like CPR Croissance Réactive. Exposure to the dollar has increased to 10% ...
Talib Sheikh, Head of Strategy, Multi-Asset, comments on the implications of a too-close-to-call U.S. election, and what the clarity of a Trump or a Biden win might mean.
It's a mug's game to try to predict the outcome of a US election, suffice to say, that at the time of writing, conviction is building among pollsters and investors that Biden has a large enough lead to secure a victory.
Green corporate bonds are growing in popularity, but it can be tricky to figure out just how green these investments really are. How do you know when ‘green' is really green and not just a catchy name of the bond?
After the successful release of its Amundi Prime US Treasury Bond 0-1 Y UCITS ETF, Europe's largest asset manager once again chose Solactive as its index provider of choice in the extension of their fixed income offering of their established Prime ETF range.