The Kijani Commodity fund has moved its domicile to target UK and European investors after a year in which it returned more than 20%.
F&C will launch an onshore version of its F&C Property Growth and Income fund this Friday.
Oil prices could plummet even lower to $30 a barrel, according to Goldman Sachs president Gary Cohn.
Hedge fund manager Crispin Odey has warned major economies are entering a recession that will be "remembered in a hundred years".
Central banks are still working to reflate asset prices while investors chase yield. This means ABS are prime candidates for top performance this year, says Jim Caron, portfolio manager at Morgan Stanley Investment Management.
Ian Rees, head of research for multi-asset funds at Premier Asset Management, tells Annabelle Williams how the team has accessed four alternative income sectors.
Assets in Hargreaves Lansdown's multi-manager range have moved closer to the £5bn mark after the company raised £162m for its HL Multi-Manager UK Growth fund, which launched on 23 January.
City Financial's Gill Hutchison and Peter Toogood discuss the commodification of fund management and its implications for the industry, and outline their fund selection process.
Swiss fund group Syz Asset Management is bringing its institutional absolute return strategy to UK investors through its Oyster Absolute Return fund range.
Aviva Investors' David Hillier has joined Insight as part of its multi-asset team.