The UK’s EU referendum battle is finally over, but now is the time that the UK’s fight for growth really begins.
Leading Schroders fund managers, covering a variety of asset classes and regions, share their insights on a difficult market environment.
China’s slowing economy and the weakening oil price have led some investors to believe bigger problems are brewing for financial markets. Gareth Isaac believes that investors should be cautious in 2016, but shouldn’t throw in the towel just yet.
At the recent Schroders Investment Conference in Budapest, a panel of Schroders’ fund managers discussed the intended and unintended consequences of quantitative easing. The panel was chaired by the Executive Editor of The Economist, Daniel Franklin.
The latest Schroders Live event, hosted by FT Associate Editor Wolfgang Munchau, saw Rory Bateman, Johanna Kyrklund, Gareth Isaac and Matthew Dobbs discuss the recent economic shock in China and the impact of slower growth on the global economy.
Fixed Income Fund Manager, Gareth Isaac, discusses the recent bond market volatility and its implications for investors over the longer term.
At our recent forum in Edinburgh, five leading Schroders fund managers and chief economist Keith Wade met to discuss the state of global markets and assess what lies ahead.
Fixed income fund manager Gareth Isaac discusses whether the recent weakness in bond markets is a short-term setback, or the start of a sustained bear market for fixed income.