Allianz Pimco manager remains overweight financials, believing the sector's bonds still offer best value for sterling fixed income investors
Premier Asset Management plans to relax the ethical policy on its £52m Fellowship fund to allow access to certain stock in previously vetoed sectors.
Skandia's UK Strategic Best Ideas fund has reached an all-time-high net market exposure following the removal of two mandates last month.
Fifth Third Asset Management president and CIO Keith Wirtz believes the US capital markets will enjoy a late rally following the mid-term elections in November.
J.P. Morgan Asset Management's Bob Michele intends to double his exposure to emerging market debt by the end of the year.
Domestic consumption and natural resources exports expected to drive recovery
Aberdeen's Jeremy Whitley is reducing exposure to domestic-focused UK companies in favour of stocks with growing global reach.
Martin Currie China manager positive on tech and food
Retail investors return to dwindling sector after seven years of redeeming assets
Argonaut Capital is set to roll out its European Enhanced Income fund, the UK market's first onshore fund utilising a covered-call strategy on overseas equities.