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There are 95 item(s) tagged with the keyword "Fidelity".

Displaying: 1 - 10 of 95

Fund update - Emerging Markets

Fidelity Emerging Markets portfolio manager Nick Price provides an update on the strategy. Following a tumultuous period in developing markets, he discusses how he is positioning the portfolio amid ongoing uncertainty, while also outlining the key areas of opportunity across this large and diverse investment universe.

Tags: Fidelity, equities, emerging markets
Global Asset Allocation Insights - August 2022

Our Multi Asset team's views on which asset classes and markets are presenting the greatest opportunities and risks.

Tags: Fidelity
Why cash isn't always king

A combination of low savings rates and high inflation has the potential to materially erode the real value of cash holdings over time. With UK inflation showing signs of being broader and stickier than first anticipated, we outline the benefits of short-dated credit as a tool for investors looking to sweat the cash element of a well-diversified portfolio.

Tags: Fidelity, Fixed Income, UK
Asia Q3 outlook - openings and opportunities

Financials markets are at a transition point, with shifting policy and inflation dynamics prompting a “global reset”. Amid this disruption, Global CIO Andrew McCaffery believes Asia stands in a relatively strong position, with China starting to look increasingly attractive as it re-emerges from lockdowns.

Tags: Fidelity, Equities, Economics, Fixed Income, Asia Pacific ex Japan
China's property downturn may have found a floor

The Chinese government’s will to reform its important property sector is balanced against the more urgent task of reviving a slowing economy. With policy showing signs of softening, we assess what happens next and look at the investment opportunities in ancillary areas related to building maintenance and upgrades.

Tags: Fidelity, equities, fixed income, Asia Pacific ex Japan
Global Asset Allocation Insights - July 2022

Portfolio manager Tim Foster takes stock of what has been a very challenging period for fixed income investors. He discusses how the market environment is likely to evolve over the coming months and outlines how the portfolio is positioned to capitalise on the pockets of value emerging across rates and credit markets.

Tags: Fidelity, Fixed Income, Global
Look to duration as recession risks grow

Central banks are moving from tough talk to action to bring inflation under control. With history showing that policymakers rarely succeed in raising rates without triggering a downturn, Steve Ellis, Global CIO Fixed Income, believes investors should consider adding duration to portfolios as recession risks grow.

Tags: Fidelity, global
Strat snippets: Happy and glorious?

While the UK recently celebrated the Queen’s Platinum Jubilee, there has been less to be jubilant about in fixed income following a very challenging period in markets. Against this backdrop, Fidelity Strategic Bond Fund co-manager Claudio Ferrarese discusses whether we could be approaching an inflection point in yields, highlighting where we now see investment potential across rates and credit markets.

Tags: Fidelity
Big brands need to clean up on plastics

The recent UN treaty on global plastics is a big step towards reducing the millions of tons of plastic seeping into the environment. As governments get to work on the details, find out how we are pressing consumer companies to deliver real world solutions to one of the planet’s biggest challenges.

Tags: Fidelity, global, Sustainable Investing, equities
Sifting through the wreckage

Worries about the ongoing Russia-Ukraine war, snarled supply chains, rising inflation and fears about possible recessionary slowdown have resulted in weakness across markets, particularly in tech-related areas. Fidelity Global Special Situations portfolio manager Jeremy Podger shares his observations on recent developments and discusses where opportunities are starting to emerge.

Tags: Fidelity, Equities, Global

Displaying: 1 - 10 of 95