'We have West Coast capitalism, not US holdings.'
FATCA is tip of the iceberg for wealth firms
Standard Life Investments' Global Equity Income fund manager Kevin Troup tells Laura Dew why his Hong Kong listed holdings are slow-burners and explains his decision to buy a Nokia bond, rather than its equity.
Nick Clay, alternate manager on the Newton Global Higher Income fund, has said the Federal Reserve may yet take further monetary easing measures instead of the expected tightening.
Like Investment Week, the fixed interest team at Invesco Perpetual is celebrating 20 years since they began to manage money. Here, the group's fixed interest team give an overview of running a bond fund through two decades of change.
The uncertain outlook for equities means a flight to quality. One approach that has been shown to outperform is screening for ethical, social and governance (ESG) factors, explains Hendrik-Jan Boer from ING Investment Management.
M&G's head of retail fixed interest Jim Leaviss has said it may be time to invest in US inflation protection following the oil-related sell-off seen in recent months.
Dr. Daniel Koller, head of management team, BB Biotech
'No investment case for oil majors'