Bond markets are set to stay correlated to equity markets, according to Mark Holman at TwentyFour Asset Management.
Jane Wallace reports from our recent fixed income event.
Janus Capital Group's fixed income team has reduced the credit weighting and high yield exposure across its Core Plus bond strategy.
PF Advisors has launched a closed-ended property portfolio targeting a 7% annual yield over the course of its three-year life.
ML Capital Asset Management has released its quarterly report on the alternatives sector, revealing a spike in interest in global emerging markets and Latin America, as well as a doubling of demand for European long/short products.
The British Private Equity and Venture Capital Association (BVCA) is holding talks with Treasury officials over the FSA's proposal to restrict VCT and EIS sales to sophisticated investors.
The surprise 1% rise in UK GDP in Q3 points to only a slight improvement in the economy's growth outlook, according to forecasters.
Top UK equity income managers have been cutting their weighting in tobacco stocks as concerns over earnings momentum and new rules on plain packaging put pressure on share prices.