In this week's Big Question, fund managers discuss whether concerns about rising inflation have been overstated, and reveal their portfolio positioning.
Low- and high-risk parts of market under pressure
Jeff Mueller, high yield portfolio manager at Eaton Vance, talks to Lawrence Gosling about his outlook for the sector in 2017.
'Increasingly important asset class'
A 'mixed blessing' for multi-asset investors
Diversification prospects
Lessons from the financial crisis
Fitch's outlook in credit negative