Latest News - Mark Holman
What the ECB could have in store for markets
TwentyFour Asset Management's Mark Holman outlines the different scenarios that could come about after the ECB meeting.
Positive spin: why negative duration is not a one way bet
On the face of it negative duration seems a smart more - but there are good reasons why it doesn't work for retail investors, says TwentyFour AM partner Mark Holman.
Bond blow-out: The yield spike explained
In a guest Investment Line Mark Holman, manager of the Monument Bond Fund, explains why last week's yield spike is part of an ongoing trend in which US, German and Japanese debt yields have risen by almost 30%.
Basel III could still hit banks hard
The new Basel III regulations, though watered down and delayed, will still impact heavily on banks, says Twentyfour Asset Management's Mark Holman.
Profile: why Chris Wyllie joined Connor Broadley
Professional footballers are not renowned for their financial acumen, but former Millwall player James Connor is an exception to the rule
Profile: Sarasin's quant boss on how smart beta is shaping private client strategy
Sarasin's head of quant on how private client strategies are having to evolve in an era of smart beta