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Midas Capital is beginning its fund rationalisation programme, bringing its Miton and iimia ranges together through a series of mergers.
J.P. Morgan Asset Management has launched a new multi-asset income fund, with a target gross yield of one-month Libor +2.5% over a five-year cycle.
Hexam Global Emerging Markets fund manager Bryan Collings has significantly reduced his Russian exposure as he moves defensive after riding the sharp recent rally.
This week's graph analysis looks at falls in GDP in Asia over the last three recessions
Prudential is adding a Cautious contract to its range of PruFunds single premium with-profits mandates.
Quality managers stand out in tough European market, where the average portfolio fell 22% over 12 months
This year, Alistair Darling's Budget did little to encourage savings. We explain some areas of concern
Global bonds have provided benefits for UK investors in terms of higher returns and lower volatility versus gilts over the last 10 years
The vast majority of multi-managers concentrate on one asset class. So those who cast their nets further afield are sure to get ahead of the game