Stephanie Flanders sets out the three key themes for investors
An OECD report has sounded alarm bells about scheme solvency in a low interest rate environment. Helen Morrissey takes a closer look.
Equity markets began to share the pain of a sharp sell-off in European sovereign debt yesterday, with the FTSE 100 dropping 1.7% in early trading and bond yields spiking once more.
As pension schemes continue their hunt for yield Fiona Southall looks at some of the issues that need to be considered before incorporating different credit strategies in a portfolio.
PP looks at research finding managers are charging higher fees than ever
High conviction approaches are well used in the equity markets but do they have an application in fixed income? Charlotte Moore takes a look.
Pension schemes are being urged to brace themselves for more volatility in the fixed income markets next year and to expect smaller returns from government bonds.
The Bank of England (BoE) has launched its biggest ever review into the fixed income, currency and commodities (FICC) markets following a string of recent scandals.
Lynne Strongin Dodds looks at the future for fixed income as spreads tighten
The "improper" allocation of trades in fixed income securities by two former employees cost Aviva Investors some £132m, it has announced.