Commentators believe the case for offshore bonds remains as strong as ever, and many are amazed how little advisers use them
Nick Gartside takes up reins from departed co-manager Bob Michele, taking Schroder Strategic Bond vehicle to first in the sector over three months
Timothy Youngman uses combination of stockpicking and top-down asset allocation to survive credit crunch, achieving 58.4% growth over three years
China Enterprise manager believes fund will pick up after losing 38.2% against benchmark
Large banking positions have led to several funds in the UK Equity Income sector shedding more than ...
Current deputy manager gearing up to inherit OM's UK Select Mid Cap fund in 2009
Manager moves toward consumer-facing sectors in anticipation of equity market bottom
Darling plan designed to address bank liabilities, capital and lack of liquidity, and US bailout package has morphed to follow its example
Manager seeks to generate returns by exploiting movements in interest and exchange rates through long or short positions in bonds, futures and forward contracts