Sustainability can mean different things to different people, which requires portfolio managers to develop a clear definition for their funds
The first of a new PA/IW series on embedded biases in multi-asset funds
Findings from the Scopic Research quarterly sentiment indicator
Ken Scott, Head of Investment Solutions at Royal London, explains how their approach to diversification aims to strengthen resilience.
Warning given that the next decade will not look like the last
Despite experiencing a backlash in 2022, it’s worth remembering why integrating ESG is so vital to a robust investment process, explains Shane O’Brien.
Building robust multi-asset portfolios is not a game of chance. We explain how expertise is a key pillar of our MAF Core range.
A series of global financial crises have left investors feeling anxious
What to consider when investing in alternatives in a multi-asset portfolio
In a world of high inflation, every penny counts. That’s why value for money is the key pillar of the Aviva Investors Multi-asset Core Fund range.