As we look ahead to 2025, the forces that drive global credit are rife with mixed signals and extreme valuations. As evidenced over the...
The Federal Reserve (Fed) will keep rates on hold for now, leading many to anticipate hikes at future meetings.
We think that distracts...
Elizabeth Moran interviewed Teiki Benveniste, Head of Ares Australia about the company’s outlook, preference for floating rate investments and the performance of Ares funds...
ETF investors continue to show strong interest in personalization; Familiarity with direct indexing grows - A report from Schwab Asset Management in the U.S.
Fixed...
Following a year of high inflation, geopolitical turmoil and spiking energy prices, professional fund selectors are expecting more of the same in 2023, with...
By Andrew Lakeman of Atlantic House, a London-based boutique investment manager specialising in derivatives-based strategies.
The fixed income landscape has shifted significantly in recent years,...
Capital Group has issued its 2026 capital market assumptions, which outline the firm's long‑term expectations for returns, correlations and volatilities across major asset classes...
A new global report from investment consultancy bfinance is encouraging Australian institutional investors to revisit Emerging Market Debt (EMD) allocations, with fresh data highlighting...
By Jon Lechte, CEO Income Asset Management
There’s a lot of noise in markets at the moment. Geopolitical tensions, the inflationary overhang of the Iran...
Socially conscious investors have been putting their money where their mouths are and starting a wave of investments in companies and funds that follow...



































