In its latest Central Bank Watch report, Franklin Templeton notes that the RBA turned less hawkish at its March 19 meeting but maintained that...
Thomas Poullaouec, Head of Multi-Asset Solutions APAC at T. Rowe Price, and his team have published their latest insights on global asset allocation and...
There is more bearishness around but not a lot of asset (re)allocation. Having lived through the fall of the Berlin Wall, the 1991 Soviet...
By Clive Maguchu, senior strategist, and Marie Tsang, fixed income strategist, State Street Investment Management. In 2025, global markets are navigating a landscape defined by...
Andrew Canobi, a Director within the Franklin Templeton Fixed Income team in Melbourne, Australia, discusses what is causing the current selloff in US and...
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...
The Fed chose a bold first move to ensure the "soft landing" can remain soft. The ensuing trajectory remains very dependent on the...
By David Jacobs, Head of Domestic Markets, Reserve Bank of Australia Address to Australian Government Fixed Income Forum, Tokyo, June 12, 2025 Introduction It is a pleasure...
There are different levels of debt or bond investment in companies. The level that you invest in will be dependent on the risk you...
By Gareth Abley, Co-head of Alternative Strategies, MLC Asset Management A perennial challenge for most investors is that the vast majority of the risk in...

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