How will the overall fund market be impacted?
In the second part of our special feature, multi-asset managers explain their US positioning in the face of further market volatility as interest rate rises loom and the presidential election campaign enters its final months.
Four managers discuss the best opportunities in the US market, their areas to avoid and how to play the disruptors theme.
Multi-asset managers tell Investment Week their current US positioning in the face of further market volatility as interest rate rises and the presidential election loom later in the year.
Natalie Kenway reports from San Francisco on the companies that are planning for a future of electric vehicles, anti-ageing technology and 3D printed limbs, with their growth posing a serious threat to older rivals.
Liontrust AM's John Husselbee analyses which global markets are offering the best value as the first half of a volatile 2016 comes to a close.
Eoin Murray, head of the investment office at Hermes Investment Management, questions how much of the recent market rally is grounded in reality.
Jon Curran, senior vice president credit at Standard Life Investments, explains why with a corporate leverage risk looming, picking the right bonds has become paramount in today's low yield environment
Developing regions out of favour for "some time"