Investments & Savings
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Robeco releases updated Climate and Nature Transition Plan 2025–2030: Staying the course, guided by science, grounded in client interests
Today, Robeco publishes its updated Climate and Nature Transition Plan 2025–2030, marking a next step in supporting society’s transition toward a low-carbon…
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Fixed income’s resurgence: why wealth managers should rethink allocations with PIMCO’s global lens
After a decade in which equities and alternative assets dominated portfolios, fixed income is firmly back in the spotlight. With interest rates…
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Is the market wrong about AI losers?
Alistair Boyle, portfolio manager at Mid Wynd International Investment Trust, sets out how just seven stocks accounted for almost 70 per cent…
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COP30: From pledges to portfolios – Is Belém the “Implementation COP”?
As COP30 starts today, Research Analyst Allegra Ianiri from ESG research and analytics firm, MainStreet Partners, explores what the latest conference has in store…
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Fund manager insights| Diversification matters but, asks Aberdeen’s Gabriel Sacks, where does China fit in?
As geopolitical tensions between the US and China continue to ebb and flow, investors are once again assessing where the world’s second-largest…
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Vanguard’s latest dividend update shows strong Q3 results masked by base effects
In the analysis below, Viktor Nossek, head of investment and product analytics, Vanguard, Europe, shares Vanguard’s Q3 dividend update, highlighting which regions, sectors…
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Investment trust managers explain why they are optimistic about Japan
It’s been an exciting time to be investing in Japan. Japanese stocks have surged to record highs after pro-business politician Sanae Takaichi…
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NS&I announces increased interest rates for its 1, 2, 3 and 5-year British Savings Bonds
NS&I has reported that new Issues of its 1, 2, 3 and 5-year British Savings Bonds (Guaranteed Growth, and Income) have gone…
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September retail outflows ease but uncertainty looms for investors ahead of the Budget
Net retail sales outflows slowed in September to £505 million, which marks a significant improvement from August’s £1.8 billion outflows, according to…
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A fixed income strategy seeking to outperform markets across multiple credit and rate cycles
The L&G Strategic Bond Fund hit £1billion in assets under management earlier this year – a key milestone reflecting its continued growth…

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