By Nikolaj Schmidt, Chief International Economist, T. Rowe Price. Recently, we have seen the 10-year US government bond rise above 5 per cent again, while...
Australian retail investors are at a distinct disadvantage in the bond market. Credit ratings are an important indication of the perceived future risk of an...
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...
Elizabeth Moran interviewed Teiki Benveniste, Head of Ares Australia about the company’s outlook, preference for floating rate investments and the performance of Ares funds...
From Anders Persson, Chief Investment Officer, Head of Global Fixed Income at Nuveen, regarding the latest fixed income insights from Nuveen's 2025 Global Investment Committee...
Andrew Lockhart, Managing Partner, Metrics Credit Partners, presents an outlook for business credit in the next 12 months and the role it plays in...
Stephen Dover, Chief Market Strategist and Head of Franklin Templeton Institute at Franklin Templeton on the latest tariffs notes the following: US President Donald Trump's...
The three-month Bank Bill Swap Rate (BBSW) is a benchmark for Australian floating rate securities. Not that long ago, the rate was close to...
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...
By Gaby Rosenberg, Co-Founder, Blossom In a remarkable shift, Australian investors are rewriting the playbook, turning their attention to bonds over equities. As the financial landscape...

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