Australian private lending paid more than twice the return of cash in the 2026 financial year, and almost no manager missed, while a handful...
From Chris Iggo, Chief Investment Officer, Core Investments, AXA Investment Managers. ​It feels like boom time. Markets are hitting all-time highs. The US economy continues...
By Laura Cooper, managing director, head of macro credit and global investment strategist, Nuveen. It's been difficult to chase duration across global rates. Just as...
Janus Henderson Investors' Credit Risk Monitor tracks key indicators which impact credit portfolios An increased number of corporate defaults is expected in light of high yields...
From Anders Persson, Chief Investment Officer, Head of Global Fixed Income, Nuveen Economic resilience: Spreads are tight, but still scope to take credit risk Underlying our...
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...
Five bond strategies to help investors navigate evolving markets. From T. Rowe Price. KEY INSIGHTS  The pain of 2022 has reset bond yields to meaningfully...
Amundi Asset Management has provided commentary on the recent market and banking sector uncertainty in Europe. Uncertainty in markets continued at the end of last...
From Dylan Bourke, Managing Director and Portfolio Manager, Kapstream Capital. Rising interest rates, equity market volatility, and stretched market valuations are seeing investors reconsider the...
By Jenna Hayes, Executive Director, Income Asset Management The rapid expansion of private credit has blurred important distinctions within the asset class. “Private credit” is...

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