Markets have been volatile lately, marked by sharp declines in global equity indexes, bond yields and commodity prices.
Stephen Dover, Chief Market Strategist, Head of...
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,...
Worried about growing government debt? Here’s a way to get out (and an option for investors)
Elizabeth Moran
Recently, global asset manager T. Rowe Price held a webinar for Australian investors. I’ve transcribed part of the presentation by Emerging Market Bonds and...
Two European ETF chiefs question suitability of illiquid private assets for ETFs. By Chris Flood, chief correspondent, ETF Stream.
Credit is due to Stefan Hoops...
By Ken Hanton, Independent Fixed Income Specialist
This year, as is always the case, there will be many moving parts that will determine the final...
Rapid growth of this opaque and highly interconnected segment of the financial system could heighten financial vulnerabilities given its limited oversight.
From Charles Cohen, Caio Ferreira, Fabio...
A Mawer Podcast with Global Credit Portfolio Manager, Brian Carney
An excerpt from a podcast that explores whether recent private market bankruptcies signal deeper systemic...
Fixed-income investment platform, Blossom, has provided a commentary on this week's turbulence in the banking industry and what it might mean for Australian investors.
Christian...
After a challenging period for fixed-income markets, conditions look to be right for a better year in bonds according to Aviva Investors.
• The reasons...
Introduction
The challenges humanity faces have never been more important than now. We are in the middle of an environmental transition that requires significant investments...



































