Interest rates rises are starting to slow and many economists are suggesting we are nearing peak rates. If you agree, then it’s time to...
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,...
By Gaby Rosenberg, Co-Founder, Blossom
In the dynamic world of investment, the allure of fixed income assets has grown significantly as investors seek stable returns...
By Laura Cooper, Global Investment Strategist and Head of Macro Credit at Nuveen.
Key takeaways:
-The second and third-order effects of the Strait of Hormuz crisis...
An Amundi Institute cross asset investment strategy research paper.
High inflation has not triggered a wage-price spiral in the advanced economies.
Monetary tightening has contained inflation expectations...
Franklin Templeton Fixed Income Portfolio Manager Andrew Canobi says the current strong performance of US and Australian credit markets is not likely to continue.
US...
From Mawer Global Credit Team
Business Development Companies, or BDCs, occupy a unique niche in the U.S. credit landscape. Created by Congress in 1980 to...
By Vincent Chung, CFA Portfolio Manager at T. Rowe Price
Recent tensions in the Middle East and the resulting energy supply shock have heightened investor...
Hybrids have long been sought after for high income and franking credits. The Australian market mostly consists of bank and financial institution securities that...
As we look ahead to 2025, the forces that drive global credit are rife with mixed signals and extreme valuations. As evidenced over the...



































