Clearer outlook sets the stage for credit outperformance in 2024 The principal concern for investors today is that a "higher-for-longer" rate environment could further dent...
Amundi’s Global Investment Committee recently published an excellent paper on investing in second half 2022. Here we republish its Top Convictions, as well as...
Credit ratings are important indicators of risk and return in fixed income markets. They give investors an indication of the perceived future risk they are...
This is an excerpt from the Rabobank Australian Interest Rates 4Q Market Outlook. Summary The Australian economy is in recovery with growth accelerating, inflation near...
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...
As the US President Joe Biden and House Speaker Kevin McCarthy reach an in-principle agreement to finalise a budget agreement to raise the $US31.4...
Hybrids have long been sought after for high income and franking credits. The Australian market mostly consists of bank and financial institution securities that...
From Challenger Since its inception in the 1970s, the global asset backed securities market has evolved beyond mortgage-backed assets to include loans secured by autos,...
One of the great advantages of managing benchmark unaware credit strategies is the greater avenues at your disposal to extract higher risk returns through...
As inflation risks continue to evolve, especially in the United States, the United Kingdom and most of the emerging markets, followed by the Eurozone,...

Recent Articles

Most Popular