Santander Asset Management Quarterly Review Q2 2014Read more >
Divergence remains a strong theme in this multi-polar world.
In this brief video, Guy Williams, Global CIO, FFTW, discusses the dominant themes and major surprises from Q4 and his expectations for 2015.Read more >
Trevor Greetham, Head of Multi Asset offers his usual quarterly update on the Investment Clock and introduces the recently launched GMAP range.Read more >
Please join us for the quarterly Global Credit webcast where Craig MacDonald, Head of Credit and lead portfolio manager on the Global Credit Fund will provide an update on the fund's performance and positioning, as well as outlining the key market themes for the quarter ahead.Read more >
Please join us for the quarterly update with the fund managers of the Absolute Return Global Bond Strategies portfolio. During the webcast we’ll provide you with updates on the portfolio’s performance and its drivers as well as our market views and the portfolio’s positioning. You’ll also have the opportunity to ask questions to the fund managers during the webcast.
Standard International Access
+44 (0) 20 3003 2666
UK Toll Free
0808 109 0700
USA Toll Free
1 866 966 5335
In this quarterly webcast Stephanie Sutton gives her macro outlook on US equities focusing on the change of stance on US rates, recent volatility and recent data.Read more >
The Factor Research Quarterly webinar series is designed to share our most recent insights into the current state of equity factors. Whether it’s referred to as smart beta, factor premiums, systematic alpha, or Northern Trust’s own Engineered Equity; factor-based investing is the new paradigm in equity investing and an essential topic for sophisticated investors.
Join us for our inaugural webinar which will provide quick timely insights into the equity factor market designed to leave you with key information to help you think strategically about your factor exposure. Our experts will discuss how interest rate hikes, the economic landscape, and continuous volatility impacts the markets; and suggest which factors could be used to best navigate the upcoming environment.
In this regular quarterly update on Asian markets, Matthew Sutherland, Head of Product Management (Asia), points out that the pull back in equity markets coupled with a more risk-on sentiment has resulted in flows starrting to come back into the asset class. Fundamentally Asian economies have some strengths, especially relative to non-Asian emerging markets. Matthew explores the China situation in some depth, first examining the challenges facing the country before elucidating some of its perhaps less often discussed strengths. He concludes by highlighting a couple of interesting fund ideas from the Asian equity range.Read more >