In the latest Interactive Financial Adviser debate, our panellists from Aviva Investors, Rathbones and S&P discussed multi-manager.
Multi-manager funds have become a cornerstone of many portfolios, providing investors with a straightforward way to diversify risk. This still relies on the manager making the right calls though and recent market volatility has seen many funds reposition themselves, reducing cash exposure in favour of equities. Is this shrewd or premature?
The Multi-manager panel includes:
Peter Fitzgerald - CFA, Senior Portfolio Manager, Aviva Investors
David Coombs - Head of Multi Asset Investments, Rathbone Unit Trust Management
Randal Goldsmith - Director, Standard & Poor's
'Annuities reinvented' paper
As US dollar strengthens
Introducing the Architas education series for clients.
What made financial headlines over the weekend?