Geopolitics is likely to play a big part in the direction of markets and investors must play close attention to events in Russia and the Middle East, according to Smith & Williamson's James Burns.
How significant is Ukraine ceasefire for Russia?
To commemorate Investment Week's 20th Anniversary, Hardeep Tawakley assesses the impact of major events in financial markets since 1995.
Neptune Investment Management is set to make a number of changes to its investment approach following a comprehensive review of the business, with the aim of improving performance.
Legal & General Investment Management fund manager Justin Onuekwusi is considering adding Russian bond exposure to the £200m Multi-Index fund range for the first time.
Russia's credit rating has been cut to junk status by ratings agency Standard & Poor's for the first time in a decade.
Richard Titherington, chief investment officer emerging market equities at J.P. Morgan Asset Management, takes a closer look at the benefits of dividend-paying stocks as investors struggle in a challenging environment
Russia's central bank is considering cutting interest rates at its next meeting later this month, shortly after raising them to 17% in an emergency move to halt inflation.