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Institutional Intermediary

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Brian Garvey and Russell Ayan, CFA, FRM

Managing risk in an unconstrained fixed income strategy

Integration of risk management throughout the investment process and the use of multiple lenses are crucial for approaches that span multiple styles, regions, asset types and credit tiers.

Nanette Abuhoff Jacobson, Daniel Cook, CFA

Tick tock till tapering?

Multi-Asset Outlook: Looking out over the next 6 – 12 months, a key question is whether markets will reprice in response to the US Federal Reserve and European Central Bank tapering. Members of our Global Multi-Asset Strategies team share their views on the potential for another “taper tantrum,” as well as thoughts on recent currency moves, regional fundamentals, and opportunities across major asset classes.


Investable innovation: Tracking remarkable biopharmaceutical advances

Several members of our heealth care team share their views on cutting-edge biopharmaceutical innovations and discuss how they are investing today.


We’re pleased to announce the launch of our Global Impact Fund, which seeks strong and sustainable growth by investing in solutions for some of the world’s biggest social and environmental problems.

We’re pleased to announce the launch of our Strategic European Equity Long-Short Fund, a high-conviction fund looking for structural growth stories in Europe.

We’re pleased to announce the launch of our Dynamic Diversified Income Fund, a multi-strategy fund with a diversified approach to sustainable income.

Wellington Management, is pleased to announce the launch of the Wellington World Bond Fund, which seeks to generate total returns by investing in a range of fixed income assets.