Ex-Schroders bond manager Jamie Stuttard is joining the London unit of US fixed income group Fidelity Management & Research.
J.P. Morgan's Nick Gartside has revised his economic outlook to include a 15% chance of stagflation, as the UK posts 4.4% inflation for February.
The fortunes of the top performers in the £ Strategic Bond sector are linked to risk appetite in the aftermath of the credit crunch.
Manager of Henderson Extra Monthly Income Bond fund Ben Pakenham, explains why he is adding to risk assets following the Japanese earthquake and subsequent sell-off in high yield debt.
Top multi-managers talk to Joanna Faith about the pros and cons of high yield bonds and reveal their favourite funds in the sector.
Old Mutual Asset Management's bond funds have moved back into negative duration after a temporary switch to positive duration at the start of the Middle East crisis.
PIMCO's Ketish Pothalingam and Luke Spajic, discuss why the sterling credit market offers more opportunity than the euro and dollar markets.