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.
Gervais Williams: the real reason to worry about Quindell
Citywire AA-rated manager Gervais Williams has argued that sentiment is the true danger to Quindell.
AA-rated Lofthouse: 'maverick' tobacco settlements won't stop M&A
Henderson International Income trust manager Ben Lofthouse shares his thoughts on recent developments in the tobacco sector in this video.
Profile: Quilter Cheviot boss Baines sees more consolidation ahead
Nineteen months on from the merger of Quilter Cheviot chief executive Martin Baines says the deal is now paying dividends.
Profile: how Matthew Butcher is carving a new role at Dart Capital
The wealth management industry is undergoing a profound period of change: whether it wants to admit it or not.