Global fixed income fund managers are switching to high-quality emerging markets (EM) sovereign debt in search of better value, reports Standard & Poor's (S&P) Capital IQ's latest sector trends research
Advisers are increasingly using index funds to access opportunities in emerging markets, research suggests.
John Husselbee, chief investment officer of North Investment Partners, on whether investors are better off sticking to last year’s winning asset classes or changing their strategy.
The eurozone sovereign debt crisis poses the greatest risk to investment returns in 2012, say advisers.
Victor Arakaki, investment director at HSBC Global Asset Management, outlines ten reasons why investors should consider Brazilian equities.
Alastair Smith of Frostrow Capital explains why investment trusts should start to feature more heavily in your clients’ portfolios.
Ken Rayner, investment director at Rayner Spencer Mills, looks at whether corporate bond funds should feature in your fund mix.
Philip Saunders and Max King from the Investec Global multi-asset team give their predictions for the year ahead.
Martin Currie's Luxembourg-based Global Emerging Markets UCITS IV-compliant Sicav is now open to retail investors.