The case for flexibility in a rising rate environment
Fund managers are urging caution following a dramatic week for investors, saying the traditional strategy of buying on market falls may no longer make sense.
Sector report: The challenges ahead for strategic bond managers
Asset Allocators' Soapbox: A whistlestop tour of global opportunities
Sector report: Three key determinants of future UK corporate bond returns
Fund Focus: City Financial's Mark Harris on why he is positioned against the consensus
Fund Focus: SLI's Scott Smith on why he continues to support a pro-risk position
Seizing the middle: An untapped opportunity in the high yield bond market