There are 4 item(s) tagged with the keyword "Market Updates".
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Credit default swaps grew rapidly, amplifying financial risks and contributing to the 2008 crisis. The Federal Reserve faces a tough balance between curbing inflation and avoiding recession. Meanwhile, China combats “involution” by reducing academic and work pressure to promote healthier competition and sustainable economic growth among its youth.
Investors remain bullish on US equities, while Europe offers relative value, and diverging macroeconomic conditions are impacting Asia.
2024 sees the Aegon Diversified Monthly Income Fund reach it’s 10-year anniversary, and with it an enviable track record of successfully delivering a yield that has averaged more than 5%*, irrespective of the macro and market environment.
Since its launch in 2014, the Aegon Diversified Income Fund has delivered an average level of income of 5.2%* per annum despite the challenges of the macro environment. This was also a decade when investment practice and the regulatory framework around ESG saw great change.
Displaying: 1 - 4 of 4