europeRemove, sovereign debtRemove

By Hugo Cox | 28 July 2010
Emanuele Ravano of Pimco outlines how the latest sovereign problems in Europe have prompted a significant reorganisation of the asset manager's fixed-income strategies.
By Mei Tuicolo | 4 June 2010
Harvard's Kenneth Rogoff shares his views on the European debt crisis and how transparency is the barrier to finding out just what is happening in the China property sector.
By Joe Marsh | 15 March 2010
Investors should diversify away from developed-market government bond markets, says Charles Beazley of Nikko Asset Management.
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What's in this issue

Family offices come of age
Consumer-bank distributors speak
Hedge funds: the next generation