Manager Writes Issue 118 Europe Reworked The impact of political change MICHAEL BROWNE, PORTFOLIO MANAGER, EUROPEAN LONG/SHORT, MARTIN CURRIE INVESTMENT MANAGEMENT
Manager Writes Issue 117 Where Next For Monetary Policy? The unveiling of tools of unlimited power ERIC LONERGAN, PORTFOLIO MANAGER, EPISODE MACRO FUND, M&G INVESTMENTS
Manager Writes Issue 117 The Wrong Diagnosis For Japan How the Bank of Japan is administering the wrong cure NICHOLAS WALL, PORTFOLIO MANAGER, OLD MUTUAL GLOBAL STRATEGIC BOND FUND
Manager Writes Issue 117 The Long Wait Risk assets struggle for impetus against negative newsflow GERAUD CHARPIN, PORTFOLIO MANAGER, BLUEBAY ASSET MANAGEMENT
Manager Writes Issue 107 Hedge Funds and the State of Responsible Investing To what extent is RI used at a fund or firm level JASON MITCHELL, FUND MANAGER, GLG PARTNERS and STEVEN DESMYTER, MD AND HEAD OF NORDICS AND BENELUX, MAN
Manager Writes Issue 98 A Walk Along the Credit Tightrope Navigating the reversal in unconventional monetary policy JON MAWBY and ANDY LI, MAN GLG
Manager Writes Issue 92 Managed Futures Performance and Volatility Understanding the post-crisis CTA market NICLAS CARLSSON, PARTNER and PORTFOLIO MANAGER and MARTIN ESTLANDER, CEO, ESTLANDER & PARTNERS
Manager Writes An Asset Class Hard to Ignore EM corporates surpassing US high-yield market capitalisation FEDERICO CARBALLO, PORTFOLIO MANAGER and FLORENCE DUCULOT, CFA, COPERNICO CAPITAL PARTNERS
Manager Writes Issue 85 Look on the Right Side ECM Asset Management’s special situations strategy SOHAIL MALIK, SENIOR PORTFOLIO MANAGER, ECM ASSET MANAGEMENT
Manager Writes Issue 82 Global Macro Investing The importance of country balance sheet analysis MARTIN BLUM, ITHUBA CAPITAL
Manager Writes Issue 82 Equity Investing in 2013 How will it be different? CHRIS RICE and STEPHEN LUCAS, CAZENOVE CAPITAL
Manager Writes Issue 80 The Hedge Fund Market in 2012 Better potential for fleet-footed fund managers VICTOR DE OLIVEIRA, SEB LUXEMBURG