National Australia Bank (NAB) today priced a $300 million green bond that will help improve the environmental performance of shopping centres owned by QIC...
Economic indicators are weakening in Australia but that doesn’t mean that yields will fall the way many expect says Andrew Canobi, Portfolio Manager for...
The fear of the Fed macro regime is back, but for how long?
Which are the defensive assets of global fixed income?
The...
From Betashares
AI hyperscalers are estimated to spend around US$660 billion on capital expenditure in 2026, fuelling a surge in global bond issuance to...
A permanent end to the Middle East conflict, resulting from the current ceasefire, will mean the macroeconomic outlook has been shaken but not totally...
SIFMA is a US securities industry member association and they do a lot of work advocating for effective and resilient capital markets. Its recent...
By Benoit Anne, Managing Director, Investment Solutions Group
While there have been plenty of fears in global markets in the recent past, we believe that...
Banks today face a complex, rapidly evolving landscape defined by economic volatility, shifting regulation, and fast-moving technology. These elements are driving significant changes across...
In brief
-Volatility has risen considerably in the eurozone, which may ultimately pave the way for buying opportunities.
-European fixed income valuation has improved.
-Disinflation is back...
Elizabeth Moran takes a look at the new BOQ Tier 2 subordinated debt issue and compares it to the recent Judo Bank and QBE...



































