An allocation to fixed income needn’t hold investors back, even as central banks flex their rate-raising muscles.
The sector may still be associated with the financial crisis, but managers are finding ways to make consistently positive returns.
Managers of International Multi-Cap Growth funds are hoping they can avoid the worst of the impact from Brexit and the escalating trade war.
We read up and run down the latest academic research on investment so you don’t have to.
We catch up with The Joseph Group Capital Management’s CIO Travis Upton and portfolio manager Aaron Filbeck to discuss their investment proposition and take a closer look at one of their model portfolios.
Risks abound, but that’s good news for global macro managers, who are set up to find returns, or at least avoid losses, whatever the weather.
We dive into our database to take a look at the active value funds and ETFs topping the table for assets and returns, as well as one you might want to keep an eye on.
High yield bonds have confounded expectations so far this year, but with risks on the horizon we look at the funds best placed to cope.
Are smart beta and factor funds the same thing? Is it possible to define smart beta, and does this even matter to investors? Index investing experts (might) have the answer.
Citywire's head of investment research Frank Talbot takes a closer look at our ratings methodology.