Tuerlinckx Tax Lawyers: arrange timely access to MyMinFin to file Belgian CIV tax return
The Belgian tax administration has further digitalized the procedure for filing the tax on collective investment institutions (CIV tax). In principle, the tax return must now be submitted electronically through the MyMinFin portal.
Morningstar: HSBC vs Schroders in Asian bond funds
The Asian bond market continues to deepen, supported by local and international interest.
AssetCare: the right (AI) tool for the right job
Finance is full of repetitive work, often done manually. Reconciliation, reporting, and various calculations to evaluate assets are part of daily life. But in recent years, the AI storm has arrived.
Morningstar: Invesco vs Cartesio in EUR cautious allocation
Investors continue to shun EUR cautious allocation funds as fixed income regained popularity.
Morningstar: Blackrock vs Pimco in global diversified bond strategies
Over the 12 months to February 2026, the US dollar weakened by 12.6 percent against the euro, a move mirrored across several emerging-markets currencies, including the Brazilian real, South African rand, Mexican peso and Malaysian ringgit. This currency shift has pushed managers in the Morningstar Global Bond – Diversified category toward local-currency emerging-markets debt to capture both rate differentials and currency appreciation.
Morningstar: AXA vs Janus Henderson in global listed real estate
Listed real estate has become one of the most conspicuous laggards in global markets. After four consecutive calendar years of underperformance against the MSCI World, valuations now sit below their historical median relative to broader equities, according to Cohen & Steers. For long-term allocators, the question now is whether this reset offers a cyclical entry point or a structural repricing.
Morningstar: Guinness versus T. Rowe Price in global equity, ft. software exposure
The disruptive potential of AI has caused havoc among software companies in recent weeks.
Morningstar: MFS vs T. Rowe Price in USD moderate allocation
Multi-asset benchmarks assume costless and frictionless implementation, setting a high bar for allocation funds to outperform after fees. Even so, these “one-stop-shop” solutions remain appealing for many investors.
Morningstar: AXA versus Jupiter in global high yield bond
Corporate bonds, particularly high yield bonds, had a strong 2025 but portfolio managers remain cautious going into 2026.
Morningstar: NinetyOne vs Morgan Stanley in global emerging markets bonds
Local currency government bonds in Latin America and South Africa had a strong year in 2025, while major Asian countries lagged the broader market.