In short measure, the UK has managed to hop, skip and (a referendum later) back itself in to the naughty corner of most global asset allocators' wish lists of places to invest.
Managed by Rik den Hartog
$20bn to $30bn 'bespoke tranches' issued in 2017
Investors turn to investment grade bonds
Company's ambition exceeds its cashflow
Latter stages of the cycle
For high yield investors, taking long credit risk in industries that are undergoing secular changes presents a challenge, writes Meridith Alin, senior credit analyst at NN Investment Partners.
TER of 0.30%
Bullish on Trump's pro-growth agenda
AMC of 0.5% on 'B' share class
Bought for €1 by Santander
'Sell in May and come back on St. Leger’s Day'
Grown AUM from £819m last year
To be managed by Jeffrey D. Mueller
This paper explores how to capitalise on the growing high-yield market.
A key challenge on the horizon that investors are facing in 2017 is the prospect of continual rises in interest rates.
Retailers next at risk
Expansion of fixed income capabilities
Applying the firm's Anti-Benchmark strategy
Type of BB+ bonds
Fund managers from Investment Week's Fixed Income Market Focus discuss their strategies for today's uncertain market environment.
Jeff Mueller, high yield portfolio manager at Eaton Vance, talks to Lawrence Gosling about his outlook for the sector in 2017.
In the third part of a short series, managers tell Investment Week which value plays still look attractive after a strong run this year.
Lessons from the financial crisis