Coram investment director and senior fund manager James Sullivan examines how the biggest drawdown of world reserves since 2008/9 could indicate fresh volatility for equity markets - should history repeat itself.
F&C's Anthony Willis assesses the impact of recent events in China on other major global economies.
Investment Week asks managers for their view on 'Black Monday' and how they are protecting their portfolio amid ongoing market volatility
Managers stand firm as panic-selling continues
Peter Askew, co-manager of the T. Bailey Growth, Dynamic and Defensive funds, explains why this sector has had a rough time of it lately
Only one member voted for a hike in July
New fund will be run by head of global equities and his team
Managers of the Ruffer Investment Company have raised exposure to sterling on the portfolio to its highest position ‘for many years'.