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...
Key takeaways: Concentration is not a reason to be bearish but to reflect on what the market is depending on. Earnings season will be...
The big shock announcement last week in global economic news was the downgrade in the US sovereign credit rating by Fitch. But the real question...
John Lloyd and John Kerschner, Fixed Income Portfolio Managers at Janus Henderson Investors review the best-performing US fixed income sectors of 2024 – what...
By Vincent Chung, CFA Portfolio Manager at T. Rowe Price Recent tensions in the Middle East and the resulting energy supply shock have heightened investor...
By Dan Siluk and Jason England, Kapstream Capital Impact of higher global bond yields The Federal Reserve (Fed) acknowledged that “cumulative tightening” will be a...
A Biden win in the US presidential election, and vaccines with 90% plus efficacy have lifted financial markets and sentiment has changed to a...
“Bonds are the underwear in your portfolio – unexciting and not much thought about, but select the wrong pair and you’ll be surprised at...
Monthly views from Insight Investment Harvey Bradley, Co-Head of Global Rates: “Australia an outlier on implied policy rates – is it justified?” When we look at forward...
Credit Suisse (CS) has been an under-performing bank for years, if not decades. So, it should be no surprise that it faltered after US...

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