A new global report from investment consultancy bfinance is encouraging Australian institutional investors to revisit Emerging Market Debt (EMD) allocations, with fresh data highlighting...
Following the release of CPI figures this week, Mutual Limited’s CIO Scott Rundell looks at how markets have reacted and the short-term outlook. Australia’s inflation...
By Katharine Neiss, PhD, Deputy Head of Global Economics and Chief European Economist, PGIM Fixed Income Tariff uncertainty has rattled business sentiment and dented investment plans,...
Some highlights from a piece by Seema Shah, Chief Global Strategist at Principal Asset Management, on the updated macro impacts of the conflict in...
A major danger of assessing sustainable investing is to simplify circumstances deserving of nuance. This is particularly the case for emerging sovereign debt markets,...
I’ve had a number of questions about inflation over the last few weeks and thought I would share them with you. First here’s a...
Fixed income markets should benefit from continued central bank easing in 2026. We expect lower interest rates in the US as policymakers respond to...
This market review comes from Jamieson Coote Bonds The recent US Federal Reserve (US Fed) meeting has elicited discussion about a possible US Fed 'pivot'...
One of the key reasons investors chose to invest in the fixed income asset class is for diversification, they are seeking investments that are...
The Australian bond market just had its best third-quarter performance since 2011 and the strongest start to a year since 2020. But while investors...

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