Most people find the constantly changing economic environment challenging. For Shahid Ikram, chief investment officer of Aviva Investors and portfolio manager of the G7 Fixed Income Fund, that very volatility is at the heart of the fund's strategy.
"The way I look at the opportunity set is very much a blend of what I would call our home bias relative value analysis, co-mingled with market directionality," he explains. "We're cognisant of where the world is going but primarily we're looking to ta
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