The effective management of risk has always been at the heart of successful fund management - a maxim that remains unchanged. What has changed, however, is the nature of that risk in a rapidly changing world
Polar's Daniel Mahony and Gareth Powell on the secular growth story emerging in the healthcare sector
Baring's Soo Hai Lim on Asia's best recovery story post the credit crunch
From January to the end of May, the price of gold bullion jumped by nearly 8%, driven by the Greek sovereign debt crisis and resulting flight towards safe-haven assets, writes Castlestone's Angus Murray
Notable positive factors are easy to overlook if we focus solely on the obvious difficulties in the market, writes Daniel Lockyer and Richard Scott of Hawksmoor
Polish markets experienced only a brief setback after the tragic plane crash that claimed the lives of many of its leaders. Why? asks, Patrick Bradley of Legg Mason affiliate Brandywine
Infrastructure is vital to your daily routine and provides the basic services and facilities crucial for community development and prosperity.
Opinions are divided over whether investors are safer in large caps or small caps
Joanna Faith reports on the benefits and risks of investing in currency funds
F&C's Paul Carne looks at how to achieve diversification in a volatile environment