Clearer outlook sets the stage for credit outperformance in 2024 The principal concern for investors today is that a "higher-for-longer" rate environment could further dent...
Late November, the Australian Securitisation Forum (ASF) held its annual conference in Sydney. Asset Backed Securities (ABS) are much loved by institutional investors but...
Readers of the financial press recently will have noted the term “US debt ceiling” popping up frequently in the market narrative. It is one...
In this educational article, Elizabeth Moran shows how Credit Default Swaps can forewarn investors of trouble ahead. Large institutional investors with significant bond holdings will...
By Andrew Lakeman of Atlantic House, a London-based boutique investment manager specialising in derivatives-based strategies. The fixed income landscape has shifted significantly in recent years,...
Fixed Income News Australia recently published Two fixed Income Funds return 10%+ over the last year and the article generated significant interest. Readers liked the...
Adam Marden, Portfolio Manager for Dynamic Global Bond Strategy at T. Rowe Price, shares his views on how traditional safe-haven assets are evolving in today's...
After one of the most volatile stretches in recent memory, the middle of 2025 offers an important moment to pause and take stock. Over...
Comments from Janus Henderson Portfolio Manager and Head of US Fixed Income Greg Wilensky. Amid a tumultuous first half of 2025, laden with tariff announcements,...
With Indian debt set to be included in major international benchmarks this year, emerging-market sovereign debt analyst Nafez Zouk from Aviva Investors travelled to...

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