Multi-Asset - Investment Update
2014 has begun nervously. Problems in emerging markets, China’s soaring credit growth and the apparent fading of the US economic recovery have all generated plenty of debate amongst investors and market volatility has increased as a result. All this with a new Fed Chairman at the helm. Simon Doyle, Head of Fixed Income and Multi-Asset, outlines his views on the opportunities and risks that these issues present. He focuses on the investment implications of these issues and how Schroder’s Real Return Fund and Balanced Fund are positioned against this backdrop.
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