Elevated uncertainty related to trade and industrial strategy in the US has led to a loss of confidence, which has had an impact on...
Authors: Andre Chinnery, William Maher, Diego May and Josh Spiller* - Reserve Bank of Australia Abstract Global private credit has grown rapidly over the past two...
From Nathan Shetty, Head of Multi-Asset, Nuveen​ Key takeaways: Previously effective investment strategies may have limited utility in the new environment. A more rigorous approach to...
While the consensus market outlook has shifted, US Treasuries don't appear to be following along, according to Western Asset, part of Franklin Templeton. Robert Abad,...
The S&P 500 is up 11% since 9 April and the deadline for what US President Donald Trump will do with tariffs is approaching....
Key Takeaways We believe that global credit is well positioned in the period ahead as an asset class that may deliver attractive defensive characteristics,...
Conventional portfolio construction theory positions equities as the primary driver of returns, while fixed income typically takes a back seat as a low-return and...
Is the global interest rate “pause” here? By Matthew Macreadie, Income Asset Management Communications from many central banks are trending that way: The Federal Reserve...
Janus Henderson Investors' Credit Risk Monitor tracks key indicators which impact credit portfolios An increased number of corporate defaults is expected in light of high yields...
The Santa Clara, California-based Silicon Valley Bank (SVB) has collapsed. This is the second-largest banking failure in US history and the largest failure since...

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