By Stephen Martin, Head of Multi-Sector Credit, Challenger Investment Management
Commercial real estate (CRE) debt has moved firmly into the spotlight. Recent reporting on borrower...
Part of an insight article from Ardea Investment Management.
1Q22 saw a historically large sell-off of bonds. A lot of policy tightening is now priced...
As a large lender in private markets, Aviva Investors has access to a pool of proprietary data they use to analyse market trends and...
In anticipation of this week's Fed meeting we publish some insights below from Dr. Stephen R. Foerster CFA, award-winning author, and professor of finance...
The lost quinquennium.
The past five years have been painful for global fixed income, and some investor frustration is understandable. Most major fixed income segments...
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 Phil Miall, Head of Private Debt Australia, QIC
After ASIC released its Private Credit Surveillance Report, it stirred a lot of talk. At QIC,...
T
he Australian ETF market attracted $4.3b in new cash flows in the third quarter of 2019, the highest quarterly cash flows ever recorded.
The mammoth...
From Seema Shah, Chief Global Strategist, Principal Asset Management:
Several characteristics of the U.S. Treasury yield curve highlight the heightened risks to the economic outlook...
By Sam Morris, CFA – Senior Investment Specialist, Fidante Partners & Pete Robinson, Head of Investment Strategy and Portfolio Manager, CIP Asset Management
Interest rates...



































