Expect nuanced performance
Keeping duration under two years
Room for sector outperformance
Hands funds to co-managers
Managed by Schulten and Wills
For first time since cutting it in 2016
Type of BB+ bonds
Comparing environment to 1994
No longer 'core' part of its activity
Low- and high-risk parts of market under pressure
Fund managers from Investment Week's Fixed Income Market Focus discuss their strategies for today's uncertain market environment.
Benefitting from favourable regulation
Inflation has overshot ECB target of 2%
Hunt for yield remains
Jeff Mueller, high yield portfolio manager at Eaton Vance, talks to Lawrence Gosling about his outlook for the sector in 2017.
Impact of Fed policy
Follows FCA evidence of 'moderate' decline in liquidity
'Increasingly important asset class'
A 'mixed blessing' for multi-asset investors
Previously dismissed concerns
Threat of trade wars
Lessons from the financial crisis
The US is in the midst of regime change. We are still waiting to see how much of his 100-day plan US President Donald Trump will - or can - put into effect, but fiscal stimulus and spending plans on the scale proposed could be transformative.