20+250+16+30% = Recovery? Robin Usson, Senior Credit Analyst at Federated Hermes, comments on recent developments in the China Property Market Over the past week and a...
From Anders Persson, Nuveen Global Head of Fixed Income An excerpt from its recent Global Investment Committee Viewpoints Despite today’s increased volatility, markets remain efficient overall,...
In its latest Central Bank Watch report, Franklin Templeton notes that the RBA turned less hawkish at its March 19 meeting but maintained that...
By John Li, Head of Asia Fixed Income and Credit Strategy, J.P. Morgan Private Bank. Long-end pain, front-end gain With 10-year and 30-year yields hitting multi-decade...
ClearBridge Investments' Head of Economic and Market Strategy, Jeff Schulze has provided comments following the release of US data overnight: "The 'wait and see' Fed...
From Adam Hetts, Global Head of Multi-Asset and Portfolio Manager, with Oliver Blackbourn, Portfolio Manager, at Janus Henderson Investors. The merits of a diversified portfolio...
The start of 2024 has caught many investors off guard. Resilient US growth and inflation have defied expectations, leading to higher bond yields and...
By Darpan Harar and Justin Jewell, Ninety One Over recent months, one headline after another has shone a spotlight on risk in the US private...
It’s not hard to see why investors and asset allocators are in a dichotomy over when/how/why to consider upping allocations or reallocating to fixed...
There are many reasons to invest in corporate bonds.  Most investors don’t realise how important the corporate bond market is to Australian companies and...

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