Webcast: finding diversification during uncertain markets
Dr Amadeo Alentorn, Lead Investment Manager, and James Murray, Investment Manager, Systematic Equities, address the problems investors face in finding diversification during falling global equities and bond markets and explain why the Jupiter Merian Global Equity Absolute Return Fund has had low correlation to both.
Webcast: Taking stock of a turbulent world
Listen to the latest webcast from Ariel Bezalel and Harry Richards, who examine the path for inflation and growth, the potential opportunities for fixed income investors, and how the portfolios are positioned heading into 2022.
Webcast: Gearing up to face headwinds
All eyes are on central banks this year, after a bumpy ride for fixed income markets in 2021: rates continue to be volatile and short-term inflation remains elevated. Is there a risk that central banks tighten policy too quickly as inflation and growth start to normalise?
Jupiter Webcast: Excelling in Europe
Listen to fund managers Mark Nichols and Mark Heslop discuss what the improved economic backdrop means for their holdings and their approach to finding excellent companies to invest in for the long term.
Jupiter Dynamic Bond Fund: Latest webcast
Listen to the latest webcast from Ariel Bezalel and Harry Richards, who examine the path for inflation and growth, the potential opportunities for fixed income investors, and how their portfolios are positioned heading into 2022.
Webcast: EMD – Increasing conviction going forward
Alejandro Arevalo, Head of EMD, Reza Karim, Fund Manager, and Matthew Morgan, Investment Director, explain why they’re confident about the outlook for EMD and where they’re currently finding the best opportunities.
The next catalysts for gold and silver
What do the Fed’s messaging and the inflation debate mean for gold and silver, and where might the next catalysts for monetary metals come from? Listen as Ned Naylor-Leyland, Head of Strategy, Gold & Silver, discusses these and other topics on his webcast.
Finding Excellence in European Equities
Mark Nichols and Phil Macartney discuss what the improved economic backdrop in Europe means for their European Growth strategy.
Unlocking opportunities in global fixed income
Listen to the latest webcast from Ariel Bezalel and Harry Richards, who discuss the path for inflation and growth, what potential pitfalls to be wary of, and how their portfolios are positioned for 2021.
Bond Market Returns at Risk? The SARB View
Is the reflation trade still valid? Are we on track for further dollar and bond weakness and cyclical asset strength? Listen to Mark Nash, Fund Manager, and Huw Davies, Investment Director, in discussion on the Strategic Absolute Bond Fund webcast.