Bond income returns potentially higher in 2025 Confidence in US growth should sustain performance Asia's economy has become increasingly challenging. Many bond investors have...
By Michael Goosay, chief investment officer fixed income, Principal Asset Management What lies ahead for fixed income investors in the year ahead? In short, heightened uncertainty...
By Bas van Geffen, CFA, Senior Macro Strategist, RaboResearch Just like 2022 was the year of the global hiking cycle and 2023 was the year...
Fidante recently hosted a Q&A panel of their fixed income asset managers, which included Teiki Benveniste from Ares Australia Management, Alex Stanley from Ardea...
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...
By Haran Karunakaran, Investment Director at Capital Group Key takeaways The last few months have seen a significant change in the macroeconomic environment. Policy rates...
Whether there's a soft landing, hard landing, or no landing at all, it's been a big question for financial markets. What is a soft landing? A...
A conventional approach to “risk” in fixed income is the idea of a single obligor default risk, i.e. the risk of an individual borrower...
Global corporate credit metrics are likely to improve more for high-yield (HY) issuers than for investment-grade (IG) issuers over the next two years, says...
Investors need to navigate a fragmented economic outlook and higher volatility risk in 2024. Global growth will decelerate, driven by slowing developed economies and...

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