Robust risk management helps to deliver reassuring results for investors.
Our experts’ latest views on the global economy, including the outlook for growth, inflation, jobs and interest rates.
Read Vanguard's latest monthly summary of flows in the European ETF market.
Andreas Zingg, Head of Multi-Asset Solutions, Vanguard Europe, explains why the risk and return characteristics are different for ESG building blocks – and how advisers can take this into account when constructing portfolios for clients with ESG preferences.
Vanguard’s chief economist in Asia-Pacific, Qian Wang, and senior investment strategist, Grant Feng, explore the outlook for China’s economy and what it might mean for global investors.
For only the second time in its history, the US saw its credit rating downgraded. Vanguard experts encourage investors not to overreact, however.
This article can help you have conversations with your clients about pound cost averaging and the potential benefits of continuing to invest during periods of market volatility.
Given their mandate to pick the winners, market volatility is often said to be favourable for actively managed funds. But is this actually the case?