By Magdalena Polan, Head of Emerging Market Macroeconomic Research, PGIM Fixed Income A changing US-China relationship, the regionalisation of global supply chains and the reemergence...
Global Asset Allocation Viewpoints and Investment Environment by T. Rowe Price Australia Investment Committee, as at 31 October 2023. MARKET PERSPECTIVE  Global central banks’ emphasis...
Scott Solomon, Co-Portfolio Manager for Dynamic Global Bonds Strategy at T. Rowe Price shares his views on the rising U.S. 10-year Treasury yield and its...
Following the US Federal Reserve’s decision to hold rates overnight Joe Unwin, Head of Portfolio Management at Apostle Funds Management, discusses what this means...
A report from T. Rowe Price Head of Multi-Asset Solutions APAC Thomas Poullaouec and team covering an AU/APAC focus. MARKET PERSPECTIVE The global economic outlook...
How investors and issuers are adapting to structural changes shaping the next era of credit. From Anders Persson Chief Investment Officer, Head of Fixed...
Bryan David, Multi sector Portfolio Manager, Principal Asset Management Markets opened the year with enthusiasm over the prospect of forthcoming policy rate cuts after the...
Key takeaways: Fixed income is the only asset class that demonstrates a low to negative correlation to risk assets. Fixed income provides highly efficient...
Investors in sub investment grade (sub-IG) private debt are facing the prospect of their first meaningful default cycle later this year and into 2024. In...
Moody’s cut the US rating one notch to Aa1 from Aaa. This is the first rating downgrade for the US since August 2023 when Fitch...

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