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...
With market volatility continuing to unnerve investors, three managers explain how they are using a range of strategies to drive fund performance in 2016 and protect returns.
In the second part of this special Big Question feature, investors and managers explain their portfolio positioning during a tough start to the year.
With the results of a referendum on UK membership of the European Union too close to call, we ask investment professionals for their views on the impact of a potential 'No' vote.
Delegates at Investment Week's European Breakfast Briefing last month heard from a number of fund managers discussing the region's prospects.
In the second of a two-part series, fund managers reveal how global central bank decisions are impacting investors and their strategies.
Diversifying portfolios
Tactical trades and taper tantrum fears