Following interest rate increases from both the US Federal Reserve and the European Central Bank, disparity has taken over investors. Our Head of Global Customer Solutions, Steve Muzzlewhite, uses our fund flows and asset allocations data to analyze the latest sector rotation and portfolio management strategies, and how these are impacting global markets.
This week’s topics include:
- Sector rotation strategy: winners and losers
- SRI/ESG fund flows report their fifth outflow in 2023
- Investors backing Japan’s equity funds
- What is driving the US equity funds $11 billion outflow since April?
Would you like to learn more about our solutions?