Emerging Markets Update with Mark Mobius
We catch up with the pioneer of emerging and frontier markets investing, now under lockdown in Durban, to get his thoughts on the economic and social implications of Coronavirus, the impact of a strong dollar on the asset class and whether a 23-stock portfolio really provides enough diversification in volatile times.
ESG: a lockdown must-have or an unnecessary distraction?
The PRI's CEO Fiona Reynolds discusses the challenges Coronavirus throws up for asset managers, asset owners and corporates, and argues an ESG approach is now more important than ever.
Finding Opportunity Amid Volatility in Fixed Income
TCW Fixed Income Portfolio Manager Bryan Whalen discusses how TCW is managing through and finding opportunities amid current market volatility.
How Coronavirus Might Impact Your Portfolio
Marc Odo, Client Portfolio Manager at Swan Global Investments, discusses the recent volatility amid growing Coronavirus concerns and explains what this might mean for long-term investors.
Coronavirus: What’s Next for Markets
Scott Minerd, Chairman of Investments and Global CIO, joins Bloomberg TV to discuss market and economic implications of the spread of coronavirus. Read Global CIO Outlook: "Peace for Our Time"