With Indian debt set to be included in major international benchmarks this year, emerging-market sovereign debt analyst Nafez Zouk from Aviva Investors travelled to...
By Michael Della Vedova, global high yield portfolio manager at T. Rowe Price Volatility has propelled high yield bond spreads to their highest levels since...
Stephen Dover, Chief Market Strategist and Head of Franklin Templeton Institute at Franklin Templeton on the latest tariffs notes the following: US President Donald Trump's...
From Laura Cooper, Managing Director, Head of Macro Credit and Global Investment Strategist, Nuveen Markets are facing a geopolitical shock – but the investor playbook...
By Chris Iggo, Chief Investment Officer, Core Investments, AXA Investment Managers The lower inflation gets, the easier it is for rogue numbers to upset the...
Nuveen's CIO, Saira Malik, shares her key takeaways on the weight of the upcoming US election and how this is affecting markets. Saira also...
The real issue behind the recent banking turmoil is the constriction of credit supply that central banks are inducing notes Andrew Canobi, Director Franklin...
Among the notable aspects of the April market shakeout was a sell‑off in longer‑term U.S. Treasuries. My concern is that this may be only...
By Barclays Investment Bank Analysts: Jeff Meli, Anshul Pradhan, Joseph Abate & Zornitsa Todorova The world of fixed income is undergoing rapid and profound changes....
Global Asset Allocation Viewpoints and Investment Environment by T. Rowe Price Australia Investment Committee, as at 31 July 2023. MARKET PERSPECTIVE  Despite expectations for slowing...

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