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Leading European fund managers react to ‘dramatic’ markets

Strategists at firms including Woodford Investment Management and Aviva Investors react to this week's market developments

Neil Woodford: 'Weak global growth and productivity, deflation and excessive debt remain our principal concerns.'
Neil Woodford: 'Weak global growth and productivity, deflation and excessive debt remain our principal concerns.'

Go big, target consumer stocks, and remain cautious. These are some of the thoughts of a clutch of leading European fund managers, following the past few days of market turmoil.

Markets flopped heavily on Monday, triggered by brewing fears over China's economic growth. On Tuesday markets bounced back, and the Chinese central bank moved to reassure investors by reducing bank-reserve requirements.

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