Equity markets across the globe were punished this week as fresh fears about a slowdown in China spooked investors.
Joel Mittelman, portfolio strategist at the Boston Company Asset Management, looks at the sectors and stocks that are most sensitive to rising rates
Khowala to take over the Fidelity American fund
What the Iran nuclear deal means for oil prices
How bond managers are positioned for rest of 2015
Mark Sherlock, lead portfolio manager of Hermes US SMID Equity fund, analyses which market cap is likely to perform best when the Federal Reserve finally decides to raise rates
James Mitchell, portfolio manager in global fixed income for Russell Investments, analyses the key risk factors for the high yield market as the Federal Reserve moves closer to raising rates.
How managers are exploiting 'mismatch between perception and reality'