From Federated Hermes, Robert Ostrowski, CIO, Outlook for 2026
Fixed income markets enter the new year with a surplus of unanswered questions. To be fair,...
Hedging Geopolitical Risks & Fixed Income Regains Diversification, HY Resilience
Contributing Author
From Benoit Anne, Senior Managing Director, Head of Markets Insights Group & Erik Weisman, Chief Economist, MFS Investment Management
Market Insights
How to hedge rising...
From Marsha Lee, Head of Australia and New Zealand at Calastone.
Australian managed funds attracted $35.9bn of net inflows in 2025, led by fixed income...
As US direct lending continues to grow, the market is getting increased attention from actors across the financial system – not all of it...
By Glenn August, Founder and Chief Executive Officer, Oak Hill Advisors, a T. Rowe Price company
Credit investors have spent much of 2026 assessing whether...
VanEck Senior Portfolio Manager, Cameron McCormack says that "The great income drought may be over, and bonds are back in the fight for investor...
There’s growing consensus that rates have peaked and now is an opportune time
to reassess investment options, prime case in point is Term Deposits (TDs)...
The first half of 2021 has seen strong growth in green bond funds including social and sustainability bonds, with Bloomberg reporting about US$294 billion...
Last week we saw the Australian government come out with a massive stimulus package that will push Australia’s net debt to almost $1 trillion...
Franklin Templeton Fixed Income Portfolio Manager Andrew Canobi says the current strong performance of US and Australian credit markets is not likely to continue.
US...



































