Canada Life Investments' Eugene O'Neill also explores which UK stocks are paying above index yields
Since the start of the year, the investor risk aversion needle, led by equity market indicators, has moved to heightened levels, says Hermes Investment Management's Geir Lode.
Managers of bond funds have a reputation for being gloomy. Perhaps that is the price we pay for our repeated warnings about inflation, defaults and currency debasement, writes Artemis' James Foster.
Industry poses inherent risks
While many stocks within financials look fully valued, Alexandra Jackson and Jo Rands are turning to a specialist financial group.
National obsession with house prices leads pontification on the demand outlook but the supply-side of the industry is where the real story is, argues Santander's Stephen Payne.