News and analysis for advisers on business critical issues, brought to you by FTAdviser and Schroders.
Advisers prefer to think global when accessing Japanese equities
'Traditional' risks return for income investors after a decade
Market underestimates potential for Japanese equities
Japanese equities likely to benefit from 'pandemic panic' recovery
Why Japanese equities are attractive for cautious investors
Interest rates: where are they going?
The assets to own if stagflation happens
Advisers split on impact of rate increases on investors
Investors too “complacent” on inflation
Bank of England made an "error" with interest rate communication
'Compelling reasons' why rates will not rise soon
What's next for the US economy?
Advisers sticking with equities despite market uncertainty
Higher inflation will hit US equities
US debt stand-off likely to mean more market volatility
Why are big tech shares selling off?
Investing in European equities
Stable politics will be crucial for European equities
European central bank decision has no impact on equities
Advisers evenly split on value of European equity funds
The US market is likely to outperform the Eurozone this year
The outlook for emerging markets after the pandemic
Why your clients should have less in emerging markets for the long-term
Advisers prefer to get EM exposure via direct funds
Clients will need to think differently if higher inflation comes
How to find value in global equities at a time of radical change
Why China worries shouldn’t cause clients to change course
Emerging market shares could struggle
The role of alternative assets in a portfolio