06 January 2025 • By Oksana Patron • 1 min read
A strategic overweight to US and global equities along with an increased exposure to private debt and diversified credit has seen AMP deliver a return ...
READ MOREInvestors looking to broaden their portfolios should consider the Gulf Cooperation Council (GCC) region as a compelling opportunity for thematic ...
READ MOREWhile national average home prices reached record highs last year, an economist notes that the cycle is showing signs of a rebound. National ...
READ MORERest delivered double-digit returns in its flagship growth option last year and believes 2025 will benefit from similar tailwinds. Rest has seen ...
READ MOREInsignia Financial has received another takeover bid from a second US firm, topping Bain Capital’s offer with a bid of $4.30 per share. At the end ...
READ MORESuperannuation funds are ramping up investments in digital transformation, focusing on improving member experiences and addressing the growing demand ...
READ MOREThe latest biennial global asset owner survey by independent global investment consultancy bfinance has revealed a shift in investment priorities as ...
READ MOREPremium airlines are emerging as alternatives for investors seeking exposure to growing consumer wealth, and the trend favouring services and ...
READ MOREThe Australian share market faces 2025 with a mix of uncertainty and opportunity, according to Shawn Lee, portfolio manager at SG Hiscock & ...
READ MOREMunro Partners portfolio manager Qiao Ma has painted a compelling vision of the investment landscape, identifying pivotal trends poised to reshape ...
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