Countries in South East Asia have seen widely disparate economic performances in 2015 so far - are politics to blame?
Strong headwinds for the commodities sector show no sign of abating, but record share price falls for some companies have provided attractive entry points into the asset class.
Laura Foll, deputy fund manager of the Lowland investment company, explains why she is taking another look at the supermarket giant.
With ethics and responsible investing becoming a core part of many investors' criteria, Investment Week asks which themes or stockpicks are standing out
After several years of bad news for the holders of open-ended but suspended life settlements funds, there is perhaps a glimmer of hope.
Emerging market weakness has been so pervasive that many are now extremely sensitive to any marginal positive change, says City Financial's Mark Harris.
A weak yen has raised input prices, which could squeeze company profits, says Michael Lindsell
Canada Life Investments' Eugene O'Neill also explores which UK stocks are paying above index yields
Since the start of the year, the investor risk aversion needle, led by equity market indicators, has moved to heightened levels, says Hermes Investment Management's Geir Lode.
Managers of bond funds have a reputation for being gloomy. Perhaps that is the price we pay for our repeated warnings about inflation, defaults and currency debasement, writes Artemis' James Foster.