The rising likelihood of ‘higher for longer’ rates could make income assets more appealing.

The rising likelihood of ‘higher for longer’ rates could make income assets more appealing.
The resilience of Asian domestic economies could withstand higher trade tariffs, say market strategists.
Meanwhile, Nick Payne, Jupiter’s lead investment manager for global emerging market equities, will be leaving the business at the end of this year.
The arrangement extends a collaboration between HSBC and IFC that started in 2019.
The markets largely shrugged off the decision by the US Federal Reserve to cut its benchmark interest rate yesterday by 50bp.
Reto Buerer has over two decades of experience in wealth management in Asia Pacific.
Index providers are labelling growth and value stocks seemingly arbitrarily, according to GMO’s asset allocation team.
Will traditional asset managers be receptive to adopting the format?
Morgan Stanley Investment Management chief investment officer Jim Caron is worried about the potential dominance of fiscal policy over monetary policy.
With the recent French elections effectively resulting in a stalemate, what impact will this have on financial markets?
Part of the Mark Allen Group.