Fifth Third Asset Management president and CIO Keith Wirtz believes the US capital markets will enjoy a late rally following the mid-term elections in November.
J.P. Morgan Asset Management's Bob Michele intends to double his exposure to emerging market debt by the end of the year.
Martin Currie China manager positive on tech and food
Retail investors return to dwindling sector after seven years of redeeming assets
Argonaut Capital is set to roll out its European Enhanced Income fund, the UK market's first onshore fund utilising a covered-call strategy on overseas equities.
Artemis Strategic Assets manager William Littlewood increased his fund's net equity exposure by over 10% last month after buying into market weakness and closing short positions in the mining sector.
Piers Denne of Future Capital Partners says the renewable energy sector offers investors opportunities that do not carry the inherent risk of ‘new' technology.
F&C's Peter Hewitt discusses why investors should start looking more closely at zeros.
Abderdeen's Ed Beal says many investors are focusing on overseas markets thanks to the uncertainty surrounding the UK economy. But are they missing out on opportunities closer to home?
Fund positioned to capitalise on ongoing recovery