With Indian debt set to be included in major international benchmarks this year, emerging-market sovereign debt analyst Nafez Zouk from Aviva Investors travelled to...
Concerns over rising US deficits, growing debt burdens and decreasing demand for US Treasuries are somewhat overstated: Western Asset
Western Asset, part of Franklin Templeton,...
Markets were recently rattled by three executive orders announcing tariff increases on Mexico, Canada, and China, marking an opening salvo of President Donald Trump’s...
Last week I was fortunate enough to interview Fraser Lundie, Head of Fixed Income – Public Markets at Federated Hermes who was visiting Australia...
The Covid pandemic has caused governments of all levels around the world to take on huge amounts of extra debt as they face dwindling...
AUSIEX is Australia’s leading share trading platform with 30% of the market and is the leading ETF broker. It has 4,400 registered advisers from...
Amundi, part of the Credit Agricole Group and Europe’s largest investment manager with EUR1.729 trillion in assets under management, has released its outlook for...
By Magdalena Polan, Head of Emerging Market Macroeconomic Research, PGIM Fixed Income
A changing US-China relationship, the regionalisation of global supply chains and the reemergence...
From PGIM Fixed Income Chief U.S. Economist, Tom Porcelli
In one of the more anticipated FOMC meetings in recent memory, the Federal Reserve kicked its...
History teaches us that governments struggle to rein in liquidity once it's been unleashed.
We're entering a new paradigm in which tangible fixed...



































