By AXA IM’s CIO, Chris Iggo The “year of the bond” moniker is most relevant to credit markets. Bond yields rose in 2022 and credit...
Investors have endured a tough year. Barry Gill, Head of Investments, UBS Asset Management, introduces the year-end edition of their investment publication and discusses...
Thomas Poullaouec, Head of Multi-Asset Solutions APAC at T. Rowe Price, and his team have published their latest insights on global asset allocation and...
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...
The Franklin Templeton Fixed Income team has issued its fourth-quarter 2023 outlook, ahead of the US Federal Reserve's policy decision. The Franklin Templeton Fixed Income...
Lynda Schweitzer, US-based co-head of global fixed income at Loomis Sayles gives us her view of global fixed income markets. Thanks so much for taking...
From Mark Dove, Junior Credit Portfolio Manager, Federated Hermes Limited With a global recession looking more and more likely to materialise in the near future,...
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...
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 US high-yield credit market has been a reliable asset class for investors growth fixed income allocations over the past decade. Grant Webster, Co-Head...

Recent Articles

Most Popular