Scott Service, global bond manager at Loomis, Sayles & Company, explains why reduced liquidity for corporate bonds and a 'plethora' of new regulations has forced the team to lower risk levels on portfolios.
Stocks to avoid as election looms
Nick Greenwood, manager of the Miton Worldwide Growth investment trust, discusses a little-heralded UK equity fund that could prosper this year.
Xavier Hovasse, manager of Carmignac's Emerging Discovery fund, takes a closer look at opportunities for investors in China and India.
There are plenty of mispriced contrarian investment ideas in Japan, writes Eastspring Investments' Dean Cashman.
Saunderson House's Joe Smith takes a closer look at drivers for the dollar this year and what could potentially derail its strong run.
Architas CIO Caspar Rock takes a closer look at the health of the UK economy and the risks posed by the uncertainty of the UK general election result.
If aliens knocked on my front door, having read pre-Millennium economic theory books, they would be scratching their frontal lobes with dismay.
Incredible swings in stock prices since the oil price dropped means volatility should now be investors' main concern, says Mark Mobius from Franklin Templeton.