Andy Zanelli discusses the importance of asset allocation within a tax wrapper.
Investors should shun fixed income assets for high-yielding equities in areas like emerging markets, in order to beat the inflation trap, according to Distinction Asset Management.
David Coombs, head of Multi Asset Investments at Rathbone Unit Trust Management, asks if investors should be turning to risk-free assets?
The first half of 2010 saw a deluge of multi-asset fund launches.
This week: Marianne Weller of Fund Intelligence assesses corporate bond funds
Schroders CIO Alan Brown has urged investors to undertake a major rethink of their traditional asset allocation models after the credit crunch exposed the dangers of static portfolio construction.
Philip Saunders and Max King, multi-asset portfolio managers at Investec, give five reasons to be positive
What is the similarity between Multi-Asset Investing, Global Diversification...and a Gucci handbag?
OPM CIO Tony Yousefian assesses the vulnerable state of sterling
Nick Blake, head of retail sales at Vanguard Investments, gives an overview of the different asset allocation solutions available to advisers.