Investors cannot afford to ignore the increasingly positive correlation between core government bonds and credit markets as rate rises loom, says Jon Jonsson, senior portfolio manager, global fixed income at Neuberger Berman.
Economic data from US and UK not strong enough
Trevor Greetham, head of multi asset at Royal London Asset Management, argues many investors are unwittingly heading into higher-risk assets as the hunt for yield continues
The ageing population is causing a major and unavoidable shift in demographics
River & Mercantile's Dan Hanbury has been upping exposure to stocks from the "distressed" mining sector in his £257m UK Income portfolio, in the belief they offer "compelling" value following a further slump in commodity prices.
Charges currently 'not fair' for large wealth managers
The news the government and the FCA are to launch a major review into consumer access to financial advice has been widely welcomed.
The growth of financial services technology - 'fintech' - has changed the advice process irreversibly, but where does it leave the adviser?