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Janus Capital agrees to merge with London’s Henderson Global
The deal creates a global active management complex with $320 billion under management.
Deutsche Bank shares fall to a record low
The German bank's riskiest bonds also declined after a media report said the German government wouldn't step in to back the lender, fueling investor concerns about its weakened finances.
Advisers weigh pros and cons of Janus-Henderson merger
Expanded distribution, consolidation and some lower fees expected.
SEC charges broker with fraudulently raising $3.2 million for his failing mutual funds
Peter Kohli, the CEO of DMS Advisors, allegedly stole money from investors as the funds neared collapse.
Tiger Management’s Julian Robertson: Hedge funds are facing the most challenging time ever
Robertson also says he won't vote for Trump and will pick the Libertarian party instead.
Bond market sell-off resembles sequel of ‘taper tantrum’: JPMorgan Chase
Yields on sovereign debt have jumped in recent days thanks in part to concerns over central banks' next moves.
Advisers are bracing for a September market storm
The usual volatility could be enhanced by the Fed, geopolitics and the presidential election.
Are junk bonds becoming the new equities?
Tempting yields might be just replacing one kind of risk with another.
Advisers ambivalent about emerging markets
Emerging markets have been on a comeback of sorts this year, but advisers urge caution and remind clients to think long term.
Value strategies defy logic in push past growth stocks
Pinning the value rally on the Fed, hoping for the best.
Health and longevity trends show promise
One way to address the short-term volatility associated with emerging markets is by investing alongside secular and demographic…
Bonnie Baha, DoubleLine’s head of developed credit, dies at 56
Ms. Baha died Sunday at the University of Virginia Medical Center in Charlottesville, Virginia, after she was struck by a car while crossing a street.
Oil prices rally as Brent crude climbs over $50
Oil has risen about 19% since closing below $40 a barrel and slipping into a bear market earlier this month.
Goldman says U.S. investors should keep their portfolios local
Plus: Diversification varies when it comes to ETFs, Wall Street starts cutting pay, and the next President will need to figure out how to handle Congress
Trouble ahead? Stock and bond markets sending divergent signals
Treasury yields hit the floor while stocks hope for the best.
Bond market is signaling it’s time to sell stocks
Breakfast with Benjamin The direction of bond yields does not bode well for the equity markets.
Japan’s stock market rally has investors suddenly looking eastward
Breakfast with Benjamin The sudden rally in Japan has some citing a turnaround, riding on the wave of Abenomics.
Unlike other active funds, First Eagle’s fund champions its passion for cash
First Eagle Overseas Fund's large cash holdings gives it a 'leg up' when markets turn choppy.
Financial advisers reach out to clients as stocks plunge in Brexit wake
Advisers tried to prepare investors for Friday's wild ride as global markets digested the United Kingdom's surprising vote to exit the European Union after 43 years.
Stocks rebound from the Brexit vote in a show of resilience that should be alarming
Breakfast with Benjamin What does it say about the U.S. stock market when it reacts so violently to the Brexit vote, and then just puffs right back up again?