Top-performing bond funds have benefitted from defensive positioning, while equity exposure has propelled Santander offering to top of peer group
The property market has been badly hit by the present drought of liquidity. With this scenario unlikely to improve soon, what is the wisest course of action for multi-managers?
Cazenove's Tim Russell puts UK Growth & Income's recent underperformance down to lack of mining stocks and going defensive too early
Invesco Perpetual manager predicting low growth and consumer confidence in 2008, but is still happy buying equities in unloved sectors
The objective of the fund is to provide a high level of income with some capital growth over the lon...
As infrastructure returns are seldom affected by the swing of the economic cycle, managers are increasingly seeing the benefits of the low-risk asset class
Two major Nordic groups are targeting UK investors next year, bringing their flagship European produ...
The recent credit-market turmoil forms the backbone of our hypothesis that there will be less liquid...
Neptune is broadening its reach into the European market with the launches of offshore versions of it...