A strong performance from US and Asian stocks has helped push global equity indices to their strongest start to a year since 1998.
The eurozone sovereign debt crisis poses the greatest risk to investment returns in 2012, say advisers.
It's our round-up of the stories your clients may have read in the national newspapers over the weekend...
Specialist long-only equity thematic investment manager, Ecofin, is setting up in Australia.
It's our round-up of the stories your clients may have read in the national newspapers over the weekend...
Charlotte Richards talks to global equity income fund managers about the benefits (and drawbacks) of the new sector classification, and what is driving the performance of their portfolios and dividend growth
The eurozone debt crisis will be resolved in 2012 with equity markets set to stage a strong recovery, according to Skandia Investment Group (SIG).
Jack Malvey, chief global market strategist for BNY Mellon Asset Management, expects resolution of the medium term economic fate of Europe and the US election outcome will see equities rise as much as 15% next year.
UK fund management firm, Fundsmith, is to use the recent UCITS IV legislation allowing them to launch a regulated SICAV feeder fund in Luxembourg.