M&G bond manager Mike Riddell and his team have taken exposure to global index-linked bonds to their highest ever levels in the view inflation risks have not been priced into the market.
The eurozone sovereign debt crisis poses the greatest risk to investment returns in 2012, say advisers.
Stuart Rhodes, manager of the £1.7bn M&G Global Dividend fund, on five of his favourite stocks.
The upcoming flotation of the social networking site is gaining plenty of column inches but should you be backing its IPO? Here industry experts reveal whether it is really worth all the hype.
As signs point toward a recovery across the pond, we ask industry experts whether the current progress can be maintained...
As investors start to take on more risk we ask managers for their strategies in this environment.