2024 was the second consecutive positive year for global developed credit markets. Full-year 2024 excess returns show the outperformance of high-beta segments (riskier market...
Trillions of dollars of household wealth have been lost because of the stock market rout. A nasty doom loop is in danger of developing...
Diversification in private credit investing is becoming more important for income investors, due to unpredictable dynamics in financial markets coupled with geopolitical uncertainty, according...
Here we interview Gary Wilson, a long-term bond investor and Toowoomba, Queensland resident. A few years ago, Gary sold all of his investments in...
  • An overview of asset class performance since the beginning of the Iran war • The correlation between bonds and equities is back up • The...
By Alan Siow, co-head of emerging market corporate debt, Ninety One The new regime The shift to a new macroeconomic regime is among factors that have...
From Mawer Credit Team High yield spreads continue to tighten. As risk premiums fall, and economic and political conditions appear positive for corporates in general,...
By Peter Sheahan, Director - Money Markets, Curve Securities My passion is commentating on yield curves. Outright levels, positive slope, inverted slope and momentum of...
Following the release of CPI figures this week, Mutual Limited’s CIO Scott Rundell looks at how markets have reacted and the short-term outlook. Australia’s inflation...
By Greg Peters, Co-Chief Investment Officer, PGIM Fixed Income This time last year, Chairman Jerome Powell and the U.S. Federal Reserve were attempting what nearly...

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