From Flavio Carpenzano, Haran Karunakaran, and Manusha Samaraweera, Investment Directors at Capital Group. Key takeaways • Fixed income markets could offer compelling investment opportunities alongside continued...
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,...
Elizabeth Moran sat down with emerging market expert Damien Buchet CIO at Finisterre Capital and previously Head of EM Fixed Income at AXA Investment...
Key Takeaways We believe that global credit is well positioned in the period ahead as an asset class that may deliver attractive defensive characteristics,...
The RBA raised the official cash rate by 25 basis points to 2.85% in line with market expectations. Apostle Funds Management's Steven Spearing provides...
Following a sustained period of higher inflation, complicated more recently by the spike in commodity prices associated with the Russian invasion of Ukraine, central...
A Mawer Podcast with Global Credit Portfolio Manager, Brian Carney An excerpt from a podcast that explores whether recent private market bankruptcies signal deeper systemic...
From Martin Rea, Senior Consultant, JANA Investment Advisers about the impact of Hurricane Milton on the Catastrophe Bond Market. The worst seems to be...
Central bank rates are converging at their average lowest levels for a few years. The year ahead could be one of stability, which would...
Rising inflation fears and market uncertainty could boost the investment appeal of government bonds, an obvious safe-haven asset. Retail investors comprise only a negligible value...

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