By Andrew Lakeman of Atlantic House, a London-based boutique investment manager specialising in derivatives-based strategies. The fixed income landscape has shifted significantly in recent years,...
As traditional banks retreat from lending markets, Private Debt is stepping in to fill the gap. From nearing USD 2tn globally today, Private Debt's...
Key points: Are investors asking the right questions? Rate cuts are not a panacea for broken businesses. What really matters are fundamentals. Are these the...
From Guy Stear, Head of Developed Markets Strategy at the Amundi Investment Institute Three factors that have contributed to the shift in sentiment ▪ Market reversal: Global...
Ninety One chief sustainability officer Nazmeera Moola, emerging market fixed income portfolio manager Thys Louw, and emerging markets equity portfolio manager Archie Hart share...
Interest rates rises are starting to slow and many economists are suggesting we are nearing peak rates. If you agree, then it’s time to...
Late November, the Australian Securitisation Forum (ASF) held its annual conference in Sydney. Asset Backed Securities (ABS) are much loved by institutional investors but...
By Robert M. Almeida, Portfolio Manager and Global Investment Strategist Soaring policy rates have made cash a competitive asset again, prompting an overdue de-rating...
In this Q&A, Sunita Kara and Brent Finck from Aviva Investors discuss why recent developments in high-yield markets strengthen the case for active management. Read...
Are we done with rate hikes? Or can't rule them out? Or should we be preparing for rate cuts? It might seem as though more...

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