Next 10 years could see higher growth and lower inflation compared with our 2023 long-term forecasts, partly due to productivity gains from the...
Among the notable aspects of the April market shakeout was a sell‑off in longer‑term U.S. Treasuries. My concern is that this may be only...
Elizabeth Moran takes a look at BetaShares' new Interest Rate Hedged Australian Investment Grade Corporate Bond ETF (HCRD) and suggests some advantages and disadvantages.  It’s...
Earlier this week I attended the Australian Securitisation Forum Conference in Sydney. In the opening panel discussion, Luci Ellis, Chief Economist at Westpac (also...
Fixed income markets should benefit from continued central bank easing in 2026. We expect lower interest rates in the US as policymakers respond to...
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...
Last week I interviewed Flavio Carpenzano, London based Multi Asset Investment Director and Haran Karunakaran Australian based Fixed Income Investment Director from Capital Group....
There are plenty of scams around, but be warned, they are getting more sophisticated and look the part. This week, we were made aware...
Foreign asset managers ramp up allocations to Australian debt, drawn by high-quality assets and a maturing market structure. Key Points: Global investors increasingly drawn to...
Key takeaways: Fixed income is the only asset class that demonstrates a low to negative correlation to risk assets. Fixed income provides highly efficient...

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