James Sullivan's new venture Coram Asset Management has launched a trio of funds as his former Miton co-manager Martin Gray joins the business.
Five fund houses predict the future for 2015
Morningstar has launched a range of four real return portfolios as it further expands its discretionary management service.
Newton Investment Management has rebranded three funds in its mixed-asset range, as well as cutting charges on two portfolios and repositioning the third.
Global growth looks pretty uninspiring, and there is much uncertainty on the horizon. But now is the time to load up on equities, says Christopher Mahon from Baring Asset Management.
Allianz Global Investors CIO Andreas Utermann has warned investors to prepare for more significant unexpected events in 2015.
Bill O'Neill, head of investment office UK at UBS Wealth Management, shares his views on where the risks lie in markets in the coming year.
Which asset class or event surprised you most?
Jason Vaillancourt, co-head of global asset allocation at Putnam Investments and co-manager of the CF Canlife Total Return fund, on taking advantage of recent market volatility.
Asset allocators are interpreting mixed signals from across the globe, but there are concerning signs of overheating in UK property and infrastructure assets, says Cornelian's Hector Kilpatrick