This fund decreases its vulnerability to rate swings by investing in variable-rate commercial mortgages.
The return to volatility puts the spotlight on ETFs that aim to protect against such swings.
Lyle Fitterer sounds like a true believer when describing the attractiveness of municipal bonds versus other sectors of the fixed-income universe...
Manager David Marcus believes Europe offers some of the best stock values.
For the most part, manager Tom Bastian’s strategy has paid off for investors in the Invesco Equity and Income Fund.
Manager Stephen Smith points to the advantages of developing-market bonds.
The strategy may appeal to conservative clients who prefer small but consistent profits.
Gregg Fisher zeros in on overlooked asset classes with better return potential and lower risk.
Weak U.S. economic data or Europe’s continuing debt woes could reverse the gains.