Rising refinancing risk, weaker valuations portend further loan losses
Tepid performance as well as regulatory and political factors cooled U.S. investors' appetites
Macroeconomic conditions, ESG backlash continue to drive investors away
Assets growing but portfolio companies not on track to avert disaster
Active fixed income funds dominated the space in a modest quarter, according to Morningstar
Assets rise, but outflows continue in Q2, Morningstar reports
The backlash to ESG investing fails to find traction with investors, Morningstar reports
Global sales dropped in the first quarter but Canada was an exception, Morningstar reports
Fees and disappointing returns are rarely deal breakers
Debt levels put Canadians at higher risk to interest rates, portfolio manager warns