Changing economic conditions mean fundamentals won't always be the core driver of markets, which is why corporate bond managers must be more active and nimble to generate returns in 2015, says Simon Blundell, manager of the BlackRock Corporate Bond fund....
What can the UK funds industry learn from the US?
A torrid year for equities in 2015?
SVS Church House Tenax Absolute Return Strategies
Old Mutual UK Smaller Companies manager Dan Nickols has noted the "rich source of ideas" represented by the IPO market ahead of 2015's listing season.
Michael Hasenstab, manager of the $39bn Templeton Global Bond fund, provides his macroeconomic outlook for 2015.
Polar Capital has reported a 'challenging' first half of its financial year after Japanese market movements weighed on the business.
Emerging markets are on the cusp of a fourth wave of reform, and this will matter more than any monetary or fiscal policy changes ever would, explains RBC's Richard Farrell.
The dearth of value opportunities in Western equity markets alongside a host of other issues leaves emerging market equities as the last man standing. Should income seekers change their focus?