By Ken Hanton, Independent Fixed Income Specialist This year, as is always the case, there will be many moving parts that will determine the final...
Global Asset Allocation Viewpoints and Investment Environment by T. Rowe Price Australia Investment Committee, as at 31 January 2025. MARKET PERSPECTIVE We have a more cautious...
Fixed Income News spoke with Barry Ziegler, Head of Fixed Income at Bell Potter Securities about the capital notes market outlook in 2022, coming...
Inflation continues to be a key theme and despite its recent peak, may stick around for longer than expected. In the first of a...
By Richard Quin, CIO and Principal, Bentham Asset Management October 2022 Fund structure plays an important part in the performance of credit funds. A well-structured fund...
ESG adoption remains robust, particularly in Europe, the Middle East and Africa (EMEA) and Asia-Pacific (APAC), even as global adoption has edged lower from...
By Lukasz de Pourbaix Head of Strategic Sales and Solutions, Fidelity International 2022 was a pivotal year for Australian investors, signaling the first rise in the...
Rallying bond yields supported fixed-coupon markets, particularly in the US, which now look particularly expensive. Against a backdrop of rallying sovereign bond markets, credit markets...
From Insight Investment’s Cathy Braganza, Senior Portfolio Manager High yield may offer best value to those invested for the long term, rather than range trading. Investors...
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...

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