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Plus, BlackRock on the hunt for deals, Silicon Valley investors on tour and WisdomTree’s shareholder revolt
Closed-end funds with fixed lifespans dominate the sector
Bank collapses in Switzerland and the US have made bondholders reconsider risks to their capital and yield expectations. But the UK gilt market is returning to normal after political upheavals and green bonds are being held to higher standards
Rising concerns over government borrowing could disrupt portfolios flush with deposits after banking crisis
Kingdom adds firepower to the Public Investment Fund tasked with overhauling economy
SEC chair Gary Gensler says ‘once in a generation volatility’ highlights risks from shadow banking sector
Alecta’s Ingrid Bonde must choose whether to stick with big-stakes strategy after bet on niche lenders turns sour
Net income fell 19% year on year to $1.1bn in first quarter
GQG Partners offloaded $1.4bn of shares after brokerage was ‘caught up’ in banking turmoil
Central banks are caught between tackling rising prices and ensuring stability but their actions hold risks for investors and borrowers
The question is whether the risks in commercial property are discounted
Tensions rise in dispute over strategy at US ETF manager
Casey Crawford will acquire boutique investment, advisory and financial services firm Vident and its affiliates
UK asset manager is reviewing its multi-assets business amid pressure on profit margins
Warning from $306bn fund is latest sign that higher interest rates have upended US commercial real estate market
Investor joins forces with Christian Brothers over concerns oil major is failing to disclose green transition costs
UBS analysis for 2022 shows vehicles in aggregate delivered -4.13% of alpha after fees
Collapse of Silicon Valley Bank makes investors doubt further hikes in interest rates, despite high inflation
Companies analysis from our sister publication
Emerge Canada funds suspended following failure to file financial statements
Policymakers must boost oversight of a risky but key part of the financial system
US regulator’s proposals for mandatory swing pricing are ill-founded and unworkable
Havens such as government debt dominate $62.1bn of net inflows
Justin Onuekwusi’s appointment comes as wealth managers struggle with rising costs and competition from cheaper rivals
Figures only slightly down on the record-setting year before as savers continue to favour early-stage companies
Active UK managers and the terrible, horrible, no good, very bad year
FM fund to drop its peg to current MSCI index to achieve ‘greater flexibility’
Nearly 50% of young people found to be investing in the funds in 2022, survey shows
Alecta lost $2bn on failed bet on collapsed lenders SVB and Signature Bank
SEC shrugs off calls for longer exemption on changes governing investment research
Tweets about investors’ plans have an outsized impact on the value of carbon-intensive companies, research finds
Lengthy streak of underperformance and concerns over economic outlook leads asset managers to diversify portfolios
Gone are the days of relying on broad market shifts to construct a portfolio
How exchange rates affect portfolios is too complex to worry about
Decision to allow outflows comes as regulators warn that some funds may struggle to meet redemption requests
Are the firms brokers? Raters? Or a secret third thing
Wealth managers’ deal may bring scale benefits but is not without risk
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