Top quartile returns typified by holding a mixed range of asset classes in Cautious Managed sector, topped by Cazenove Multi-Manager portfolio
Schroders UK Equity manager's conviction over commodities positioning has paid off as fund outperforms in comparison with rest of peer group
Manners looks to find undiscovered stocks ahead of the market on Asian Smaller Companies
Wrapper choice can have a huge impact on fund returns, as demonstrated by Fidelity FundsNetwork's analysis of potential yields and losses
The fund aims for capital growth by investing in smaller companies, where good management can have t...
Gray investigating property, large-cap, US and Asia as sources of return for Special Sits offering, after holding back large cash postion during recent volatility
Typical names top sector over three years and also lead during credit crunch, thanking increasingly defensive stance and quality over cyclical focus
This is a single premium investment bond that aims to increase the value of the investment. It provi...
F&C UK Equity Income manager uses a rare underweight position in banks among yield-focused offerings to bring top returns over the past year
New Star manager Gledhill expects bond markets may take the next 18 months to pick up but believes his portfolio can withstand difficulties