Joining global rates team
Falling shares around the world
Warnings issued by central banks
Sold by majority shareholder Old Mutual
Which cheap sectors should you avoid?
Leaving after 30 years
Steering clear of energy sector
Approaching three-year anniversary
Volatility prompts move to safe havens
Legg Mason affiliate
Boost to yield and liquidity
Waiting for risk reward premium to improve
Mabbutt and Martin have resigned
Editorial team discuss outlook
With the bears on a rampage, it is increasingly incumbent on those of us who regard ourselves as cautious optimists to get real about what could go wrong, writes David Stevenson.
Guillermo Ossés joins firm
Launched a year ago
Investors likely to rush for exit
Mark Robinson, chief investment officer of Bordier (UK), explains why despite the slowdown in China, the backdrop still looks reasonably favourable for many countries.
Run by trio of managers
Allows investors to manage currency volatility
The legacy of Bowie Bonds
Credit team warns of repeat of Lehman crisis
Increasing signs of stress have been creeping into credit markets says Matthew Dickens, senior research analyst at Ingenious Asset Management.