From Mark Dove, Junior Credit Portfolio Manager, Federated Hermes Limited
With a global recession looking more and more likely to materialise in the near future,...
The Fed chose a bold first move to ensure the "soft landing" can remain soft. The ensuing trajectory remains very dependent on the...
By Alan Siow, co-head of emerging market corporate debt, Ninety One
The new regime
The shift to a new macroeconomic regime is among factors that have...
Article contributed by asset manager Ninety One
China’s inclusion into major bond indices is an exciting step for this asset class. We look at five...
The Australian bond market just had its best third-quarter performance since 2011 and the strongest start to a year since 2020. But while investors...
By Jonathan Butler, Head of European Leveraged Finance and Co-Head of Global High Yield, PGIM Fixed Income
Rapidly changing global markets have become a key...
An excerpt from a Mawer podcast, 'Art of Boring' with Portfolio Manager, Brian Carney
Against the backdrop of geopolitical escalation, an energy shock and shifting...
From Matt Simpson, Senior Market Analyst, City Index
The RBA held interest rates at 3.6%
This breaks a record streak of 10 consecutive hikes...
Australia’s 2026 Budget reshapes investing: proposed CGT and negative gearing changes make income assets more attractive, says Income Asset Management's Jon Lechte.
More Powerful Than...
ANZ Is Embroiled in Allegations it Manipulated Government Bond Sales – What Exactly Does That Mean?
Contributing Author
By Mark Humphery-Jenner, UNSW Sydney
ANZ is being investigated by the Australian Securities and Investments Commission (ASIC) amid serious allegations the bank manipulated markets when...



































