Global Asset Allocation Viewpoints and Investment Environment by T. Rowe Price Australia Investment Committee, as at 31 January 2024. MARKET PERSPECTIVE  Global growth expectations have...
From Daleep Singh, Vice Chair & Chief Global Economist, PGIM, and Guillermo Felices, PHD, Global Investment Strategist, PGIM Credit. The war in Iran has...
By Bas van Geffen, CFA, Senior Macro Strategist, RaboResearch Just like 2022 was the year of the global hiking cycle and 2023 was the year...
By Mitch Reznick, CFA; Robin Usson, CFA; and Sophie Demare of Federated Hermes After record issuance in 2021, the Green, Social, and Sustainability bond market...
Companies that offer annuities are significant investors in fixed income assets. In this article, Aaron Minney, Head of Retirement Income Research at Challenger, dispels...
From Silvia Dall'Angelo, Senior Economist at Federated Hermes Limited, London US economic data had a generally softer tone this week, suggesting the impact from past...
From Mawer Credit Team High yield spreads continue to tighten. As risk premiums fall, and economic and political conditions appear positive for corporates in general,...
From Martin Rea, Senior Consultant, JANA Investment Advisers about the impact of Hurricane Milton on the Catastrophe Bond Market. The worst seems to be...
Rising inflation fears and market uncertainty could boost the investment appeal of government bonds, an obvious safe-haven asset. Retail investors comprise only a negligible value...
Bonds are useful in different economic conditions. Fixed rate bonds provide certainty in declining interest rate environments, floating rate notes pay a fluctuating rate...

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