European funds have recouped most of last year's losses by focusing on global companies and avoiding debt-ridden countries
We ask industry figures.... Can dividends from equity income portfolios surpass rising inflation?
Fund manager Steven O'Hanlon and economist Paul Wharton discuss the outlook for the country
Lombard Odier's Stéphane Monier says EM's have to manage the rate at which they raise the value of their currencies, or else risk destabilising their economies.
Lazard's Kevin O'Hare explains why investing in developing economies is the next best play.
Standard & Poor's has downgraded Ireland's long-term sovereign credit rating from A to AA- as the country prepares to accept an EU bailout.