Investment Week asks managers where they believe the best opportunities and key risks lie in the forthcoming 12 months.
With the results of a referendum on UK membership of the European Union too close to call, we ask investment professionals for their views on the impact of a potential 'No' vote.
In the second of a two-part series, fund managers reveal how global central bank decisions are impacting investors and their strategies.
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.
A wave of risk aversion hit high yield bonds in Q3. Here, fund managers give their views on the sector after the sell-off and where the sweet spots now lie for investors.
Strong headwinds for the commodities sector show no sign of abating, but record share price falls for some companies have provided attractive entry points into the asset class.
With ethics and responsible investing becoming a core part of many investors' criteria, Investment Week asks which themes or stockpicks are standing out
In the second of a two-part Big Question, Investment Week asks which financial services companies are standing out as the sector's recovery continues