Markets have responded as expected to Donald Trump's victory – higher Treasury bond yields, firmer equities, and a stronger dollar. It is a re-run...
Concerns grow for the global economy, inflation is not beaten, says Morgan Stanley Investment Management
As the challenge of bringing down inflation remains ongoing, the...
We hear plenty of experts talking about sectors they favour in the current environment, but how does this translate to your portfolio?
In this article,...
By Patrick Marshall, Head of Private Debt & CLOs, and Carina Spitzkopf, Director, at the international business of Federated Hermes. Federated Hermes is a...
FINA’s Fixed Income ETF Finder has been updated. Here, editorial director, Elizabeth Moran summarises the changes, including new ETFs, inflows, and the best and...
As we look ahead to 2025, the forces that drive global credit are rife with mixed signals and extreme valuations. As evidenced over the...
Article by Manuel Hayes, Senior Portfolio Manager, Insight Investment
High yield corporate credit has emerged as one of our asset class picks for 2022 (see:...
Amundi's Mid-Year Global Investment Outlook
Narrow and uncertain path to growth: global growth to further decelerate and bottom out H2 2023, progressive recovery becoming...
The correlation between bonds and equities is very high and not likely to correct anytime soon. So what is the solution? More fixed income....
Markets have been volatile lately, marked by sharp declines in global equity indexes, bond yields and commodity prices.
Stephen Dover, Chief Market Strategist, Head of...



































