Investment-grade credit has had an encouraging start to 2024 – but are these really “Goldilocks” conditions for the asset class? In their latest Q&A,...
Liz Harrison, Fixed Interest Analyst – ESG at Janus Henderson, discusses how the change of government could see confident commitment to net zero targets...
Elevated uncertainty related to trade and industrial strategy in the US has led to a loss of confidence, which has had an impact on...
Global markets are displaying a risk-on approach, following the United States' trade agreements with certain key partners and the reduction of risks associated with...
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...
There is no dispute about the current fundamentals, Western Australia (WA) has a better existing economy and budget position than Victoria. WA benefits from its...
From Marsha Lee, Head of Australia and New Zealand at Calastone. Australian managed funds attracted $35.9bn of net inflows in 2025, led by fixed income...
From Franklin Templeton Trump's tariff announcement stunned the markets. To help investors better understand the implications for their portfolios, Stephen Dover, Head of Franklin Templeton...
As global interest rates start to ease, investors are faced with new challenges and critical decisions in managing risk while seeking yield in fixed...
By Bruno Bamberger, Senior Solutions Strategist at AXA IM Money market and short-dated (one-to-five-year) bond yields are the highest they have been since the end...

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