Powered by MOMENTUM MEDIA
lawyers weekly logo
Advertisement

News

markets

17 September 2015 • By • 1 min read

Retail FUM/A hits $1.11 trillion

Funds under management and advice held in retail and wholesale managed funds increased by 11 per cent over the 12 months to June 2015. According to ...

READ MORE
icon

Don't invest fearfully, warns SSgA

Many market participants are reacting to recent volatility and market dislocations with increased fear, leading to poor investment decisions, says ...

READ MORE
icon

ANZ plays down Asia exposure

ANZ chief executive Mike Smith has moved to placate shareholders about the institutional banking arm's Asian exposure at default. ANZ released a ...

READ MORE
icon

Australia at risk if new GFC hits

As global markets become increasingly volatile, there is concern that if another global financial crisis eventuates Australia would be hard hit, says ...

READ MORE
icon

Alternatives protect against downturns: Man AHL

Recent market volatility has reinforced the need for investors to incorporate alternative investment strategies into their portfolios if risk is to be ...

READ MORE
icon

ANZ retail offer raises $720 million

ANZ has completed its share purchase plan (SPP) raising $720 million in new tier one capital, with the raising oversubscribed by $220 million

READ MORE
icon

Female fund managers a rare find

The representation of women in the US fund management industry is strikingly low with only 10 per cent of managers being female and running two per ...

READ MORE
icon

Small-caps can capture growth opportunities: UBS

In a challenging environment, investing in small- and micro-caps can provide investors with exposure to growth and greater access to sector specific ...

READ MORE
icon

Dow Jones revises sustainable indices

The Dow Jones Sustainability Indices for 2015 have had a shake-up, leading to three new additions and deletions. S&P Dow Jones Indices, in ...

READ MORE
icon

Don't fear rising rates, says Vanguard

Rising interest rates may well mean short-term pain for bondholders, but a passive portfolio of bonds will benefit from higher rates in the long term, ...

READ MORE