T. Rowe Price has released its outlook for 2026 global investment markets. Global Asset Allocation: Diversification and Inflation Hedging Remain Key Thomas Poullaouec, Regional Head of...
The correlation between bonds and equities is very high and not likely to correct anytime soon. So what is the solution? More fixed income....
A resilient economy and unshakeable markets shouldn’t blind investors to an uncertain future, by Greg Peters, Co-Chief Investment Officer, Fixed Income, at PGIM. One lesson...
By Phil Miall, Head of Private Debt Australia, QIC After ASIC released its Private Credit Surveillance Report, it stirred a lot of talk. At QIC,...
FINA’s Fixed Income ETF Finder has been updated. Here, editorial director, Elizabeth Moran summarises the changes, including new ETFs, inflows, and the best and...
A report from T. Rowe Price Head of Multi-Asset Solutions APAC Thomas Poullaouec and team covering an AU/APAC focus. MARKET PERSPECTIVE The global economic outlook...
Bryan David, Multi sector Portfolio Manager, Principal Asset Management Markets opened the year with enthusiasm over the prospect of forthcoming policy rate cuts after the...
Global Asset Allocation Viewpoints and Investment Environment by T. Rowe Price Australia Investment Committee, as at 29 February 2024. MARKET PERSPECTIVE  Firming in global growth...
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,...
High returns from high yield On the bond side the clear winners have been leveraged and high-yielding fixed income assets which sit right on the...

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