Thursday, February 24, 2011

Preparing for bond market risks with flexibility and diversification

Gary Madich, CIO, Global Fixed Income, Columbus, believes investors should prepare for this year's bond market risks with flexibility and diversification.

Gold & Silver: Cling to Commodities in a Crisis

Feb. 22 2011 | Gold & Silver : Cling to Commodities in a Crisis   Martin Hennecke, associate director at Tyche, expects a sovereign debt crisis in the U.S. and Europe, and consequently advises to hedge against such crises by investing in precious metals and energy. These safe bets give you freedom to take risks on other opportunities he explains to CNBC's Chloe Cho, Anna Edwards and Yousef Gamal El-Din.

Gold To Continue Long-Term Upward Trend

Gold To Continue Long-Term Upward Trend
Feb. 22 2011 | Kingsgate CEO Gavin Thomas is optimistic about the second half of the year despite posting a 65% fall in consolidated interim net profit. He shares his upbeat outlook, with Michael Yoshikami of YCMNET Advisors and CNBC's Martin Soong & Sri Jegarajah.

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