Fixed income markets should benefit from continued central bank easing in 2026. We expect lower interest rates in the US as policymakers respond to...
I recently had an email from Jeff, asking why the value in the iShares Inflation Linked Bond ETF had dropped when inflation is rising....
In Brief: Investors welcome deregulation under Trump 2.0 The US government played a dominant role in financial markets under the last three administrations How...
Excerpts from webinar discussion sharing their perspectives on managing fixed income portfolios in an era characterised by both heightened volatility and changing inflation dynamics...
From Chris Iggo, Chief Investment Officer, Core Investments, AXA Investment Managers. ​It feels like boom time. Markets are hitting all-time highs. The US economy continues...
In brief -Volatility has risen considerably in the eurozone, which may ultimately pave the way for buying opportunities. -European fixed income valuation has improved. -Disinflation is back...
From Ward Brown, Fixed Income Portfolio Manager and Robert Almeida, Portfolio Manager and Global Investment Strategist, MFS Investment Management What are the structural differences between...
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...
Interest rates are incredibly low and there is an enormous amount of cash looking for a home. So much so, that any new bond...
By Robert Tipp, Chief Investment Strategist and Head of Global Bonds at PGIM Fixed Income Summary Most developed market (DM) bond markets have already priced...

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