The manager of Artemis UK Special Situations is currently steered towards blue chips finding better yields there
Based on hedge fund principles, Multi-Manager Diversity fund sees absolute returns by diversifying across assets
Despite never topping sector in any discrete year, Aled Smith's portfolio doubled sector average over three years
By Aimee Savage Managers with exposure to equities prove to be the best performers in the IMA's UK Other Bond sector
Having launched the UK Alpha fund in 1999, Lazard added a more aggressive, concentrated version last year
Manager of Rathbone Income and Growth looks to avoid short-term volatility by playing longer-term themes across market-cap spectrum
By Aimee Savage David Roberts believes flexibility to allocate between gilts and investment grade and high-yield credit has helped him produce top returns for the group over three years
Seven out of eight of Mark Harris' funds are in top 25% of respective sectors over the past three years
The Winterthur Investment Bond provides complete flexibility with regard to policy use within the pr...
By Clemmie Jackson-Stops Lack of exposure to deep cyclicals such as commodities, resource stocks and engineering has damaged performance on many smaller companies funds in recent years