BMO Global Asset Management had announced that remaining F&C branded products will be renamed after the BMO brand, which will apply to all open-ended funds and corporate entities in Europe. The direct-to-consumer channel will also align under the BMO name. Following the acquisition of F&C Asset Management in 2014, BMO GAM is continuously strengthening its […]
Ethical hacker and social engineer FC aka FreakyClown has given insights on his 25-year experience of security breaching to delegates of the InvestmentEurope Swiss Summit at the Hotel Bellevue Palace in Bern. FC has broken into hundreds of banks, offices and government facilities. He said businesses he has worked with have failed to understand that […]
Erik Rubingh, director, head of Systematic Strategies at BMO Global Asset Management will attend the upcoming InvestmentEurope Roundtable Barcelona 2016, taking place 2 June at the Hotel Claris. With a focus on equity style investing, Rubingh will consider how value and momentum approaches can drive absolute returns in bull or bear markets – reflecting on […]
David Moss, manager of the F&C European Equity fund provides an update on European equity markets and his outlook ahead of the results of the ECB’s asset quality review (AQR). Review of recent European market events “As share prices slide, we are confronted by negative confirmatory bias everywhere we look. As investors in European equity […]
Paul Niven, head of Multi-Asset Investment at F&C Investments, has outlined the manager’s latest views on asset classes.
F&C UK Real Estate Investments Limited has announced a period of strong performance in its interim results for the six months to 31 December 2013.
Rising rates and central bank policy meant fixed income was the most difficult asset class to pick a winning fund from in Q4 2013, F&C FundWatch’s latest survey revealed.
Fund manager of the F&C UK Property Fund Guy Glover believes there are opportunities in the property market to drive a strong income return for investors without having to go up the risk curve.
Sam Mahtani, fund manager at F&C Global Emerging Markets Portfolio, provides his view following Q2 GDP figures recently released on India.
David Moss, director of European Equities at F&C Investments, believes that the strong vote for chancellor Angela Merkel’s party in the German elections ultimately suggests a positive backdrop for European equity investors.
Ted Scott, global strategy director at F&C, discusses whether the recent return to growth means the eurozone debt crisis is finally over.
Paul Niven, head of Multi-Asset Investment at F&C Investments has outlined the markets in which he is over- and under-weight.