Simon Scott-White of Charles Stanley says Oxford Catalysts is worth a punt for those with the nerve.
Risk is a hot topic at the moment. The turmoil on the stock exchange has seen a big increase in market risk while Standard and Poor's has lowered their opinion of the US's credit risk.
Stephen Peters, investment trust analyst at Charles Stanley, looks at how the investment trust sector is dealing with a testing 2011.
Felix Martin, economist in the Thames River global credit team, responds to the Bank of England's August Inflation Report.
Heath Reidy finds out how fund selectors identify the industry's up and coming stars.
Newton's Iain Stewart puts one-fifth of Real Return portfolio in cash as volatility strikes.
UK Mid Cap manager prevails through tough headwinds, steering fund to top of charts.
Prudential's head of portfolio management group John Betteridge explains why recent market turbulence should not be compared with the crisis of three years ago.
First State Global Property Securities fund returns seven times the peer group average as global focus pays dividends.
Income sector heavyweights return to form after paying the price for anti-cyclical stance.