In this webinar, we talk with Anthony Kirkham who is the Head of Investment Management/Australian Operations for fixed income manger, Western Asset Management. The...
A conventional approach to “risk” in fixed income is the idea of a single obligor default risk, i.e. the risk of an individual borrower...
Income Asset Management's Head of Credit Strategy - Matthew Macreadie, provides his credit outlook for 2023.
It is the starting point that counts
After enduring...
The RBA’s upcoming decision
FY24 first-half outlook
The benefits of an ethical FI portfolio
There’s a perception among some that there’s a tradeoff between...
From Mawer Global Credit Team
Business Development Companies, or BDCs, occupy a unique niche in the U.S. credit landscape. Created by Congress in 1980 to...
Credit ratings are important indicators of risk and return in fixed income markets.
They give investors an indication of the perceived future risk they are...
By Erik S. Weisman, Chief Economist and Portfolio Manager, MFS Investment Management
The jury is out on whether the United States economy will be able...
The below commentary has been provided by PGIM
MACRO
The severity of the recent strain across the software sector underscores AI’s potential creative destruction, including the...
T. Rowe Price has released its outlook for 2026 global investment markets.
Global Asset Allocation: Diversification and Inflation Hedging Remain Key
Thomas Poullaouec, Regional Head of...
Government Bond Expert, Charles Jamieson From Jamieson Coote Bonds Talks About Life And Government Bond Strategies In The Coming Year - Part 1.
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