By Gregory Peters, Co-Chief Investment Officer, Public and Private Fixed Income, PGIM
Bonds continued to navigate economic uncertainty in 2025, extending their impressive bull market....
Following a sustained period of higher inflation, complicated more recently by the spike in commodity prices associated with the Russian invasion of Ukraine, central...
It is little surprise that the word “stagflation” is trending as the world grapples with the possibility of both slower economic growth and higher...
Elizabeth Moran interviews Hui Sien Koay, Head of iShares Fixed Income Product Strategy, APAC ex-Japan, BlackRock, and James Waterworth, Director, Wealth Distribution Australia, BlackRock,...
Global and Australian market commentary from Jamieson Coote Bonds
The changing bond market
After the rapid rise in the cost of capital the world over, economies...
Andrew Canobi, Director and Portfolio Manager Franklin Templeton Fixed Income, argues that the debate over the US debt ceiling is a timely reminder of...
Comments from Janus Henderson Portfolio Manager and Head of US Fixed Income Greg Wilensky.
Amid a tumultuous first half of 2025, laden with tariff announcements,...
Last week we saw the Australian government come out with a massive stimulus package that will push Australia’s net debt to almost $1 trillion...
Following yesterday's RBA rate pause, Mutual Limited CIO Scott Rundell shares his post mortem:
RBA July 2023 Monetary Policy Decision – a pause for reflection...
After one of the most volatile stretches in recent memory, the middle of 2025 offers an important moment to pause and take stock. Over...



































