In the latest Conjecture debate, our panellists from Aviva Investors, Rathbones and S&P discussed Multi-manager.
Andrew Lake, manager of Aviva Investors' High Yield Bond fund outlines the stocks to snap up and ones to avoid during a gloomy period for the UK consumer.
Alex Ingham has left Aviva Investors to join Lazard Asset Management where he will launch a small-cap emerging markets fund for retail investors.
Property fund managers are flocking to the central London office market in the expectation the capital will outperform other regions, as the UK property sector's recovery since the financial crisis begins to stabilise.
Investors should be focusing on stocks with high and growing dividends, writes Henry Sanders III, manager of the Aviva Investors US Equity Income fund.
Aviva Investors has merged three manager of manager funds into its multi-asset portfolios.
Economists shoot down IMF's growth forecasts for UK in anticipation of an increase in GDP.
Aviva Investors' Chris Higham has slashed risk exposure in his £1.6bn Corporate Bond and £96m Strategic Bond funds, shifting 25% of the portfolio into cash on fears of a bubble forming in risk assets.
Aviva has appointed Trevor Matthews as CEO of its UK region and as an executive director of Aviva.
LV= Asset Management (LVAM) has today launched a US income fund for UK equity fund manager Marcus Chandler.