Marlborough manager takes £34m fixed interest vehicle to top of peer group over one year
After the losses suffered in 2008, this year has proven something of a pick-up, with investors developing sharper defense mechanisms in the wake of the credit crisis. But what is providing the momentum driving investors into 2010?
New Star High Yield Bond manager says bottom-up approach clouds bigger picture
It is enough to give you vertigo. Corporate bonds have had a wonderful six months.
Re-opening of capital markets has been critical to credit health, which has in turn led to the recovery in high-yield markets
F&C's Fatima Luis is planning to reduce her exposure to high yield names by at least 10% in both her £125m Extra Income Bond and £225m Strategic Bond funds.
Architas manager Caspar Rock explains the key considerations of strategic bond investing
Markets are rebounding strongly after the indiscriminate drop of last year.
Despite a benign inflationary outlook there are still compelling yields to be found in the corporate bond market
Top performing high-yield managers attribute good results to high-yield convictions