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.
Andrew Cole, investment manager of the Baring Multi Asset fund, explains why he has been adding risk back into his portfolio.
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.
Ratings agency Standard & Poor's has downgraded the EU bailout fund to AA+ from AAA.
Markets have struggled to gain further ground after the European Central Bank announced it had lent almost €500bn to banks in a three-year liquidity operation.
Julian Chillingworth, chief investment officer at Rathbone, on why the eurocrats’ words are wearing thin for European investors...
A strong hint from the European Central Bank it will cut interest rates next month has buoyed markets in early trading, following sharp gains in the US and Asia overnight.
The UK government is taking legal action against the European Central Bank (ECB) over a planned change to European banking rules it warns could harm the City of London.