Managers tell Investment Week about the difficulties of dealing with record low yields in traditional fixed income sectors, and whether areas such as emerging market debt are worth considering.
Early entry into EMs in 2015 has paid off
The implications of the surprise leave result in the EU referendum continues to reverberate around the markets. The leave campaign's assertion that there will be no economic disruption from a Brexit is being tested.
As managers continue to search for uncorrelated assets which are able to achieve 'true' diversification in difficult market conditions, managers tell Investment Week in this two-part feature their strategies for constructing the perfect multi-asset portfolio...
Backed by support services company Bankhall
In the second part of this special Big Question, managers assess the risks and rewards of investing in this sector in the current climate.
The FTSE All-Share index is off some 18% from its high in April 2015 at the time of writing, yet having called the top of the market successfully the key question to answer is when do we want to start to invest our high levels of cash?
Following a circuit-breaking fall in equity markets, managers assess what impact China's volatile stockmarket could have on neighbouring countries in Asia this year.
In the second of a two-part series, fund managers reveal how global central bank decisions are impacting investors and their strategies.
Some managers still remain committed to asset class