Latest News - Chris Sloley
Five top selectors reveal their best corporate bond fund picks
With credit activity at record highs, Citywire Selector uncovers which strategies are occupying prime positions on investors’ buy lists.
What Trump means for real assets: focus on five sectors
Real asset specialist Cohen & Steers uncovers how higher inflation under a pro-growth US President could impact returns.
Health check: how Performance Clinic candidates have fared
Citywire Selector rewinds to the start of 2014 to see how five top managers have responded to periods of underperformance.
Nordic boutique bolsters factor-driven equity fund range
Finnish group adds second strategy to line-up focused on investments driven by four academically determined factors.
Absolute return aversion drives GAM fund outflows
Painful first half of 2016 sees assets under management drop for Swiss investment firm.
Hasenstab: ‘horrific’ lessons have hardened EMs
Blockbuster bond manager believes developing world is finally heeding the lessons of the Asian and Tequila crises.
Nordea scraps underperforming Nordic bond fund
Investment firm merges away regional bond strategy after performance failed to meet expectations, Citywire Selector has learned.
Emerging Europe manager drops two funds
Citywire + rated regional specialist hands over control of Eastern Europe and Russia-centric strategies, Citywire Selector has learned.
The five most improved Europe Ex-UK equity managers
With Brexit posing a huge financial headwind for the region, Citywire Selector uncovers the sector specialist risings up the rankings over the past year.
Three fund buyers name the Japanese strategies to back
With Abenomics under increased scrutiny, Citywire Selector asked leading investment professionals how best to play the Land of the Rising Sun.