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Ivy GNR portfolio manager Fred Sturm looks at recent market setbacks and considers the longer term potential for the resources sector in his most recent commentary, while also discussing his belief that commodity prices could rally into next year and perhaps strengthen over the next 2 to 5 years.
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WRA Asset Strategy Fund’s management team discusses why, despite recent pullbacks, there are key factors that fortify the case for a investment allocation to firms that may be benefiting from China’s economy, policy vigilance, attractive valuations, and its long-term growth prospects.
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Bryan Krug, Portfolio Manager of Ivy High Income Fund, answers timely questions about the high-yield market and how he’s managing the Fund during a period of heightened volatility.
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WRA/IVY Asset Strategy Fund's management team discusses Europe's €750 billion bailout plan, the specter of a European banking crisis and their continued pursuit of the Asset Strategy Funds' emerging middle class investment theme.
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