Fund managers reveal telecoms, housebuilders and retail as some of the sectors they believe will be able to continue their strong run in 2016, alongside the trouble spots.
Managers discuss their positions
Four European fund managers reveal the different strategies that are helping them find the best opportunities in the region as they continue to navigate market volatility.
Six fund managers discuss their groups' approach to sustainable investing, and how climate change is rising to the top of the investment agenda following last year's COP21 conference in Paris.
Long term implications of shaky start to 2016
ECB and BOJ set for further stimulus
In the second of a two-part series, Investment Week asks managers for their views on high yield following the sector sell-off in Q3 and how they are gaining exposure.
Part of expansion plans
With ethics and responsible investing becoming a core part of many investors' criteria, Investment Week asks which themes or stockpicks are standing out
Kirill Pyshkin, fund manager at Mirabaud Asset Management, says the recent underperformance of global high dividend stocks is unusual, so should investors be taking advantage of the buying opportunity?