We believe that there are two types of bond bear market, writes Andrew Clarke, fund manager - fixed income at Sarasin & Partners.
The 40-year bull market ended over a year ago
Potential further weakness in the pound
In June 2016, immediately before the Brexit referendum, a curious thing happened.
In this week's Big Question, fund managers discuss whether concerns about rising inflation have been overstated, and reveal their portfolio positioning.
Low- and high-risk parts of market under pressure
Yields on benchmark 10-year UK government bonds jump following announcement
A multi-faceted universe of funds