Read our portfolio managers’ 2021 outlooks as they are published and stay informed on key market themes for the year ahead.
European smaller companies managers Rory Stokes and Ollie Beckett discuss their outlook for the asset class in 2021.
Nick Sheridan, European equities portfolio manager, explains why 2021 could be the year for value as economies recover from the coronavirus pandemic.
Tim Winstone, corporate credit portfolio manager, sees reduced bond issuance, ongoing policy support and a recovering economy helping to underpin euro investment grade bonds in 2021.
Portfolio Manager Seth Meyer discusses how a return to normal in 2021 should be supportive for credit markets.
Jenna Barnard and John Pattullo, Co-Fund Managers of Henderson Diversified Income Trust, explain how credit markets navigated COVID with relative ease and why corporate bonds remain in the sweet spot for 2021.
Alternative and Multi-Asset
News of game-changing vaccines have heralded a dramatic change in expectations for markets and the economy in 2021. Paul O’Connor, Head of the UK-based Multi Asset Team, considers the rationale behind this optimism.