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This week, Cam and Kirsten explore what’s going on with flows into Equity funds, which have pulled in $152 billion YTD, and Bonds Funds which have seen over $30 billion redeemed. How is the anticipation of the Fed and other central banks’ talk on tightening affecting investors’ decisions here? Rivers of money flow into US Equity Funds, China dominates the EM space while less interest is shown towards smaller regional Asian markets, and geopolitical risk sap appetite for Russia Equity Funds.
If you have a question about this episode, want to request a demo of our data, or talk to an EPFR expert today... Contact us now!
By Kirsten Longbottom & Cameron Brandt5
22 ratings
This week, Cam and Kirsten explore what’s going on with flows into Equity funds, which have pulled in $152 billion YTD, and Bonds Funds which have seen over $30 billion redeemed. How is the anticipation of the Fed and other central banks’ talk on tightening affecting investors’ decisions here? Rivers of money flow into US Equity Funds, China dominates the EM space while less interest is shown towards smaller regional Asian markets, and geopolitical risk sap appetite for Russia Equity Funds.
If you have a question about this episode, want to request a demo of our data, or talk to an EPFR expert today... Contact us now!