Don't listen to the scaremongering - with stocks on the rise and an improved macro outlook, Europe offers rich pickings.
Opportunity and volatility: SLI's Richard Batty on how your clients can profit in uncertain times.
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.
Dawn Kendall, multi-manager at Architas, uses historical examples to pinpoint why the European monetary union is bound to fail in its present form.
Following a mixed 2011, Maria Merricks asks fund managers what this year has in store for the high yield sector.
Specialist global fixed income asset managers, Rogge Global Partners (Rogge), has teamed up with Alfi Partners, a third party marketer.
Robin Hepworth, CIO of Ecclesiastical Investment Management, looks at the options now the supposed safe havens of cash and government bonds are out of bounds for most investors
David Coombs, head of multi asset investments at Rathbones, is confident we are moving toward a real solution in Europe. But he says several risks remain...
The regulatory body for the European Union has proposed stricter disclosure requirements on providers of exchange traded funds (ETFs), but has backed away from imposing more radical reforms on the sector.
Morningstar's latest European asset flow update for 2011 highlights which fund managers and sectors - in spite of European doom and gloom - came out on top.