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Investing
Asset Allocation
April 8, 2026
Private equity shifts pressure to retail investors
Private equity’s model is coming under strain as exits slow, capital remains tied up, and investors…
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Investing
April 7, 2026
Adding private markets can increase overlap in risk exposure
Investors seeking to diversify their portfolios and reduce dependence on traditional equity indices…
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Asset Allocation
April 2, 2026
Asset owners push asset managers back into net zero alliance
Asset owners representing 3.7 trillion dollars in capital sent a clear message to their asset…
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Investing
April 1, 2026
Higher rates weigh on EMD more than geopolitics
The unrest in the Middle East has affected Emerging Market Debt (EMD) through rising rates and…
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Investing
April 1, 2026
Oversubscription of bond issuances creates a snowball effect
The fact that some bond issuances are now oversubscribed by as much as ten times illustrates how…
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Investing
April 1, 2026
Iran conflict hits Miran’s housing assumption
The conflict between the US and Iran is hitting the core of the Federal Reserve’s rate strategy. The…
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Asset Allocation
March 27, 2026
Eltif growth meets market reality
An Irish long-term investment fund has suspended redemptions after investor withdrawals exceeded its…
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Asset Allocation
March 26, 2026
Investors underestimate risk capacity Yale finds
For decades, investors have been told to balance risk with a simple formula: the 60/40 split between…
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Investing
March 26, 2026
‘Health care can regain its role as a safe haven’
The health care sector continues to lag behind the broader equity market, but according to sector…
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Investing
March 25, 2026
Neobrokers and neobanks are putting pressure on wealth management margins
Neobrokers and digital banks are advancing into wealth management and are putting further pressure…
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Most recent
Events
Belgian investment experts split on best course in turbulent times
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Expert Panel
Morningstar: Fidelity versus Schroders in Asia ex-Japan equities
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Investing
Second China shock tests European portfolios
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Transfers
Transfers: M&G, ABBL, Carmignac, SGSS, GAM, Warburg Pincus
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Investing
Concentrated stock portfolios are riskier than you think
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