In the second part of this special Big Question feature, investors and managers explain their portfolio positioning during a tough start to the year.
Following calls to 'sell everything' last month as markets continue to flirt with bear territory, industry experts tell Investment Week where they remain invested, the areas to avoid and, most importantly, why the market slowdown is not a new crisis in...
The US Federal Reserve's decision to raise interest rates at the end of 2015 marks a new phase for markets in the post-2008 recovery,writes Mark Harris, head of multi asset at City Financial.
While the Chinese economy is undergoing a structural slowdown, it would be incorrect to translate this into an assumption for an imminent 'hard landing' given that policy makers still have significant flexibility to support growth.
Mike Kerley, co-manager of the Henderson Asian Dividend Income strategy, analyses how currency movements can significantly affect income levels for UK investors.
Following a circuit-breaking fall in equity markets, managers assess what impact China's volatile stockmarket could have on neighbouring countries in Asia this year.
Monitoring developments in other oil-exporting nations
Long term implications of shaky start to 2016
Are economic indicators suggesting that Asia can weather the world's deflationary forces?