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Investment News Emerging Markets Tipped To Be Best Performing Sector In 2010 18470458

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Emerging Markets tipped to be best performing sector in 2010
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Emerging Markets tipped to be best performing sector in 2010

16 February 2010 / by Andy Davies

More than half of Barclays Stockbroker investors believe Emerging Markets will deliver better returns than UK equities this year.

Research by the execution-only broker has revealed that 53 per cent of investors are bullish in their outlook towards Emerging Markets, believing they will deliver the greatest returns on their investments this year, while a quarter of investors suggest the UK is best-placed to provide positive returns.

Almost a quarter of investors claim investing in Emerging Markets in 2010 will be key to their portfolio, while an additional 36 per cent have admitted this sector is definitely on their investment radar.

Meanwhile, one in 10 investors has shown faith in the US market, and just three per cent of respondents said they were confident that Europe will be the highest performer in 2010.

Commenting, Barbara-Ann King, head of investments at Barclays Stockbrokers, is not surprised by these findings given the “ever-increasing coverage of Emerging Markets”.

“Clients have clearly not been deterred by significant volatility over the last 18 months or so, and continue to look far and wide in order to achieve their desired investment goals.

“As the Emerging Market story becomes progressively more mainstream investors are finding that Exchange Traded Funds (ETFs) present an efficient low-cost way to gain exposure to areas that were previously difficult to access, and Emerging Market ETFs accounted for 18 per cent of our purchases in the last quarter of 2009,” she said.

India has been tipped to be the best performing emerging market this year, with China and Brazil not far behind.

Welcoming this news, Ms King said: “As the second of the emerging market powerhouses in Asia, India is well positioned to emerge as one of the leading global economies, so it is positive to see our clients are looking to capitalise on this.”

© Fair Investment Company Ltd

 



  Product Name ISA Option Income Yield More Info
Henderson Strategic Bond yes 5.7% More Info >
Income Paid Quarterly. Investing in higher yielding assets which will include most types of fixed interest securities, this fund aims to deliver a quarterly income to investors. See latest fund factsheet for details.

Newton Asian Income yes 5.43% More Info >
Income Paid Quarterly.The objective of the Sub-Fund is to achieve income together with long-term capital growth predominantly through investments in securities in Asia Pacific ex Japan (including Australia & New Zealand) region. The Sub-Fund may also invest in collective investment schemes. See latest fund factsheet for details.
Newton Higher Income yes 5.4% More Info >
Income Paid Quarterly. The objective of the Fund is to achieve increasing distributions on a calendar year basis with long term capital growth. The Fund may also invest in collective investment schemes. See latest fund factsheet for details.

Invesco Perpetual Distribution yes 4.7% More Info >
Income Paid Monthly. Invesco Perpetual Distribution offers a balance between both income and capital growth through investment in UK based equities and fixed interest securities. See latest fund factsheet for details.

Invesco Perpetual Monthly Income Plus yes 4.46% More Info >
Income Paid Monthly. Popular income fund that aims to achieve a high level of income whilst seeking to maximise total return through investing in high yielding corporate and Government bonds, together with UK equities. See latest fund factsheet for details.

Woodford Equity Income Fund yes 3.50% More Info >
Our selected partner for investing in Neil Woodford’s Equity Income fund is Barclays Stockbrokers, via their INVESTMENT ISA for new ISAs and ISA transfers, or their MARKETMASTER® ACCOUNT for non-ISA investments. Income Paid Quarterly.The fund’s investment objective is to provide investors with long-term appreciation through investing in stocks primarily listed on the UK stock exchanges. Up to 20% may be invested in international companies. The income objective is 10% higher than the FTSE All Share Index yield with an anticipated annual yield of 4.0%.
Newton Global Higher Income yes 4.7% More Info >
Income Paid Quarterly. The objective of the Sub-Fund is to achieve increasing annual distributions together with long-term capital growth from investing predominantly in global securities. The Sub-Fund may also invest in collective investment schemes. See latest fund factsheet for details.

Jupiter Merlin Income Portfolio yes 3.10% More Info >
Income Paid Quarterly. To achieve a high and rising income with some potential for capital growth by investing predominantly in unit trusts, OEICs, Exchange Traded Funds and other collective investment schemes across several management groups. The underlying funds invest in equities, fixed interest stocks, commodities and property, principally in the UK. See latest fund factsheet for details.

M&G; Global Dividend yes 3.27% More Info >
Income Paid Quarterly. The Fund aims to deliver a dividend yield above the market average, by investing mainly in a range of global equities. The Fund aims to grow distributions over the long-term whilst also maximising total return (the combination of income and growth of capital). See latest fund factsheet for details.
Kames Strategic Bond yes 2.95% More Info >
The primary investment objective is to maximise total return (income plus capital ) by investing in global debt instruments,denominated in any currency, ranging from AAA Government Bonds through to high yield and emerging market corporate bonds. At least 50% of the fund will be invested in sterling and other currency denominated bonds hedged back to sterling. See latest fund factsheet for details.

M&G; Optimal Income yes 2.44% More Info >
Income Paid Twice Yearly.The fund aims to provide a total return to investors based on exposure to optimal income streams in investment markets. The fund invests across a broad range of fixed income assets according to where the fund manager identifies value. See latest fund factsheet for details.

*Current Income Yields are Gross, Variable and Not Guaranteed
**Historic Yield reflects distributions declared over the past 12 months as a percentage of the mid-market price of the fund.
*** This is the target yield the fund aims to achieve per year, it is not guaranteed and could change according to prevailing market conditions. The target yield is net of basic rate tax.
Information correct as at 08/02/2012.

The value of investments and any return from them can fall as well as rise and you may not get back the full amount invested. Please ensure that you read the Important Risk Information below. 








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