Why do fund buyers limit exposure?
Ardevora co-founder and partner Jeremy Lang addresses five of the biggest concerns facing UK equity investors in current markets.
The European Central Bank may be forced to buy investment grade corporate debt in an expansion of its QE programme, according to M&G fixed income manager Richard Woolnough.
The possibility of two separate general elections in the UK this year is causing concern for fund managers, who say it could lead to prolonged turmoil for equities and sterling in 2015.
Mark Slater has sold out of utility company Centrica and bookmaker William Hill in his Income fund, ahead of May's general election.
Ecclesiastical's Robin Hepworth has said fears the upcoming general election will have a detrimental impact on the UK equity market are overstated.