The long-awaited value comeback may very well be underway, with signs of a rotation away from growth stocks towards the end of 2020. What does this mean for active equity investors? In this webinar, we look back over the history of the value vs growth debate and explore the different options availabRead more
Nick Eisinger, Vanguard’s emerging markets lead strategist, explores whether investors should view the prospect of emerging market debt restructuring as a threat or an opportunity.
Loubna Moudanib, credit analyst in Vanguard's Fixed Income Group, looks at why it's key to understand regional nuances to add value in global credit.
As part of our active edge blog series, we examine Wellington Management’s Opportunistic Value team, which manages 50% of the Global Equity Fund on behalf of Vanguard shareholders.
Sometimes active talent can be combined to build a portfolio that offers investors lower volatility and greater diversification when it comes to investment styles.
The Vanguard Global Credit Bond Fund has reached a milestone anniversary with an excellent track record in meeting its objective to offer investors a core fixed income holding, providing consistent income and capital growth.
Deciding to invest with an active fund is an endeavour to beat the market. Active investing is fraught with risk, though, which is why choosing the right manager is so important. Find out what gives certain managers an edge over the market – an active edge.