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Global asset portfolios to deliver 5% a year: BCA
New research from BCA Consulting predicts Australian equities will outperform global equities over the next 10 to 15 years.
What you don't own matters more than what you do
. The confluence of events, which has seen the traditional negative correlation between long duration bonds and equities quickly turn positive, has had a...
Is this the beginning, rather than the end for the 40/60?
2022 has been a torrid year for both bond and equity markets, but particularly those outside Australia. Following Friday's weak close, the S&P500 is now down...
Active v passive debate more relevant than ever
As global share market volatility becomes the norm, active fund managers argue their expertise is needed to help protect against losses and deliver robust...
Why this trillion-dollar managers prefers stocks over bonds
"We recently cut risk but stick with stocks over bonds for now. Equity prices now reflect much of the worsening macro-outlook and hawkish Fed" were the latest...
Investing through inflation and growth uncertainty
In their latest quarter fixed income outlook, titled 'Investing Through Inflation and Growth Uncertainty' global asset manager Neuberger Berman has flagged...
Your guide to contrarian investing
At its simplest, taking a contrarian investment approach means going against current market trends. There are different levels of being a contrarian investor....
Ethical investing isn't just another theme
The growing popularity of ESG-themed strategies by fund managers is no doubt a positive for the globe, but the “proliferation of product” is...
This is where pension funds are looking to deploy capital
Global investment consultant and support network to the pension fund industry, bfinance, this week released its latest Market Intelligence and Market Trends...
U.S. Fed rate hike implications for portfolios
The US central bank announced a quarter percentage point increase in its benchmark rate overnight, which was widely expected. For the first time in three years...
Advisers can no longer ignore the macro
With volatility and inflation on the rise, things aren’t looking too good for the near future; that’s the broad view of the Global Macro team at JP...