Market and portfolio commentary from institutional investor Nuveen, as part of their quarterly Global Investment Committee Outlook. Current market environment: Overall growth in the U.S....
Thomas Poullaouec, Head of Global Investment Solutions, International and Portfolio Manager at T. Rowe Price, and his team have published their latest insights on...
By Magdalena Polan, Principal and Head of Emerging Market Macroeconomic Research, PGIM The possibility that China’s slowdown, and under-sized fiscal stimulus, might weigh on the...
By AXA IM’s CIO, Chris Iggo The “year of the bond” moniker is most relevant to credit markets. Bond yields rose in 2022 and credit...
This has not been your typical business cycle. The writing was on the wall: a recession was coming. All signs pointed to that inevitability....
High grade sovereign (or government) bonds remain as relevant as ever in an uncertain and complex market environment. Today’s bond yields are indeed low, and...
Non-government debt, also known as credit or corporate bonds, is a key part of the broader fixed income universe. Historical performance data shows that credit...
Stephen Dover, Chief Market Strategist and Head of Franklin Templeton Institute identifies five themes worth watching in the year ahead. 1. Secular stagnation returns As 2023...
A real fear, now largely passed When the United States and Israel struck Iran on 28 February 2026, the most immediate market concern was an...
Andrew Canobi, Director and Portfolio Manager Franklin Templeton Fixed Income,  argues that the debate over the US debt ceiling is a timely reminder of...

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