
European equities, Brexit and Blur
It's episode seven, and we're talking to Philip Dicken, Head of European Equities, and Mine Tezgul, European Smaller Companies Portfolio Manager. We take a deep dive into the European equity market, a...
7 Feb 202033min

Global equities, Porter's Five Forces … and squid sandwiches
This episode we're talking to portfolio managers Dave Dudding and Scott Woods from the Global Equities desk. They take a deep dive into the world of global equities, both small and large cap; talk us ...
25 Okt 201943min

Responsible investment, ESG … and Cider with Rosie
This episode we shine the spotlight on the hot topic of Responsible Investment, as we talk to Simon Bond, Director of Responsible Investment Portfolio Management. We take a deep dive into the world of...
28 Aug 201933min

Being a bond obsessive, evaluating risk … and pizza
It's episode four of our podcast and this time we're chatting to Deputy Global Head of Fixed Income, Gene Tannuzzo. We discuss what it is that sets his asset class apart, how we approach risk, and our...
12 Jul 201926min

UK equities, Brexit, mums' money and… Primal Scream
It's episode three of our new podcast and this time we're chatting to UK equity fund managers James Thorne and Phil Macartney, who co-manage the Threadneedle UK Mid 250 Fund. We discuss the volatility...
6 Jun 201939min

Multi-asset, markets and... Murakami
In the second edition of our new podcast we chat to Multi-asset portfolio manager Maya Bhandari about her route into asset management, what multi-asset actually entails, market movements at the end of...
29 Apr 201919min

US equities, Trump, tax cuts and… the Wu Tang Clan
In the first episode of our new podcast, US Smaller Companies Portfolio Manager Nicolas Janvier talks about his life in asset management, the factors that are a feature of his investing world – from t...
14 Mar 201925min



















