Archive

  • Bonds losing appeal over cash

    14 September 2016

    M&G manager says traditional advantages of government bonds have disappeared

  • M&G appoints head of investment risk

    06 September 2016

    Nas Islam replaces David McGillveray and will report to the CRO

  • Aviva's property fund suspension could last 8 months

    12 August 2016

    Firm cites challenging market conditions as inhibitor to trading

  • Leveraged loans an asset in waiting

    27 July 2016

    Leveraged loans are often perceived as riskier than equivalent high-yield bonds, but market participants believe this is unfair and the asset is due a revaluation. Sarfraz Thind reports

  • Three more managers suspend UK property funds

    06 July 2016

    Henderson, Columbia Threadneedle and Canada Life take total up to six

  • M&G latest to suspend property fund

    06 July 2016

    Asset management arm of Prudential Financial suspends £4.4bn UK Property Fund

  • Safe haven bond markets tighten on Brexit vote as peripherals widen

    24 June 2016

    German 10-year bund at new record low

  • Dipping toes in the high yield bond market

    19 April 2016

    There is a lot in favour of high yield bonds, but investments in such bonds need to be managed with great vigilance. Benedicte Gravrand reports

  • M&G expands long-lease investing to Europe

    15 February 2016

    Real estate fund launches with €265m from institutional investors

  • M&G's European commercial mortgage loans totalled £2.2bn in 2015

    26 January 2016

    Most active year since the crisis; more deals expected this year.