According to BetaShares, the Australian ETF industry ended 2023 at an all time high with total market capitalisation of $177.5 billion, representing 33% year...
The Santa Clara, California-based Silicon Valley Bank (SVB) has collapsed. This is the second-largest banking failure in US history and the largest failure since...
Foreign asset managers ramp up allocations to Australian debt, drawn by high-quality assets and a maturing market structure. Key Points: Global investors increasingly drawn to...
Spreads of credit default swaps (CDS) on US sovereign risk have moved materially higher in the past few weeks. “We believe a US default is...
From Anders Persson, Chief Investment Officer, Head of Global Fixed Income, Nuveen Economic resilience: Spreads are tight, but still scope to take credit risk Underlying our...
From Moody's Ratings Australian US-dollar issuance is dominated by investment-grade issuers that benefit from Australia's (Aaa stable) diversified economy, supported by strong immigration-led population growth...
By Sébastien Page, CIO and Head of Global Multi-Asset at T. Rowe Price There’s no perfect historical analogy for the current environment. Fiscal and monetary...
By Marion Le Morhedec, Global Head of Fixed Income at AXA IM Core During the past decade, the green bond market has seen exceptional growth. So...
From Flavio Carpenzano, Haran Karunakaran, and Manusha Samaraweera, Investment Directors at Capital Group. Key takeaways • Fixed income markets could offer compelling investment opportunities alongside continued...
The Federal Government has launched an inquiry to investigate ways to expand the corporate bond market in Australia and provide mum and dad investors...

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