Which decisions rocked investors?
For much of 2015, and the early part of 2016, I only had to check the direction of the oil price and the Shanghai Composite to work out how good - or bad - the day ahead would be.
Emiel van den Heiligenberg, head of asset allocation at LGIM, takes a closer look at the remaining options for global central banks.
A unique aspect of China's financial system has been the rapid accumulation of bank deposits over the last decade, but what is the sector's future?
Rhys Davies, fixed interest deputy fund manager at Invesco Perpetual and manager of the City Merchants High Yield investment trust, explores what the recent rise in yields in the high yield market means for investors.
Rate uncertainty weighs on markets
Despite the negative sentiment and a rise in risks, the fundamentals of Asia are better positioned to withstand an external shock than other EM regions, according to Jade Fu, investment manager at Heartwood Investment Management
Michael Hasenstab, executive vice president and chief investment officer for Templeton Global Macro Group, gives his assessment of China's true debt levels.