Morningstar.co.uk's recent special report into investing in global equities remains the most heavily consumed article of late, with readers tapping into expertise from Morningstar and further afield in the investment industry. Elsewhere on last week's top ten are international fund managers' top picks for 2012, Schroders head of emerging markets equities on when to expect a rebound, and Morningstar UK's head of closed-end fund research on how to make the most of our investment trust research. Have you read Morningstar's top ten articles this week? Find out below, or by searching our online article archive.
Equity Investing
Special Report: Catch Up On Global Equities Week Morningstar experts around the globe, plus special guests, assess opportunities among the world's equity markets.
Top Managers' Equity Picks for 2012 European equities could be the ones to watch next year, though diversification is paramount given the difficulty in predicting risk in the current environment.
Conway: Emerging Markets Set for Rebound Schroders' head of GEM equities says after a tough year, emerging market valuations are extremely attractive and a shift in sentiment is all that’s needed to trigger a substantial rebound.
Canada's Banks: A Model Industry? They operate in a low-risk, high-return environment, but future growth may be limited.
Investment Trust Investing
Rank Closed-end Funds by Their Morningstar Rating The Morningstar Rating for U.K. closed-end funds, including investment trusts, facilitates direct comparison with others funds.
Helping You Find the Right CEF For Your Portfolio Changes to our rating for closed-end funds makes for much more meaningful fund comparisons.
ETF Investing
Value in Europe? Not Yet European stocks seem cheap, but we think they'll get much cheaper down the road.
Fund Investing
Low Cost, High Quality Bond Funds Just four funds available for sale in the UK carry both Morningstar's top qualitative rating and relatively low total expense ratios.
Gold-rated Offerings for Yield Seekers Among the latest Morningstar Fund Research, our analysts have reiterated gold ratings on two income offerings and one European equity fund.
Investment Strategy
Portfolio Positioning for a Multi-Low Environment A low growth, low inflation, low interest rate environment implies tilts towards U.S., Asia Pacific and emerging market equities.