Not a 'risk-free' asset
Just under £300m in assets
Exchange and offer processes
Managers not meeting investors' expectations
'Growing demand for outcome investing'
Launched with internal seed money
Effective 13 March
Corporate bonds looking attractive
We believe that there are two types of bond bear market, writes Andrew Clarke, fund manager - fixed income at Sarasin & Partners.
Despite Moody's downgrade
What are the pros and cons of boutique firms?
Snowden and Hull made co-heads of fixed income at Kames
Potential further weakness in the pound
Joins as assistant fund manager
In response to investor feedback
More risks in UK than Europe
Low- and high-risk parts of market under pressure
Fitch's outlook in credit negative
Led by Karsten Bierre
Impact of Brexit and Trump
Ian Pizer reveals his key trades for the new year
Fund managers have warned of short-term volatility following Italy's vote against constitutional reform in this weekend's referendum, which they say could "exert a baleful influence" on the country's struggling banking sector.