877 insights found

Fixed income

Sterling Credit Short Duration strategy - Summer rally is on, but the risk of a second wave increases

Credit spreads kept on tightening in July thanks to the continued monetary and fiscal support from central banks and governments worldwide, promising results from coronavirus vaccine trials, further ...

Fixed income

Global Short Duration strategy - Summer rally is on, but the risk of a second wave increases

Credit spreads kept on tightening in July thanks to the continued monetary and fiscal support from central banks and governments worldwide, promising results from coronavirus vaccine trials, further ...

Fixed income

Asian Credit Strategies - Beyond rally and recovery, what next?

Market is essentially fully priced though some value remains generally across China and in a few pockets across the market.

Fixed income

Unconstrained fixed income: Harnessing the diversity of the universe

As an asset class, fixed income goes well beyond the notions of low risk and low return. Today’s global fixed income universe comprises a broad spectrum of sub-classes with the potential to deliver o ...

Fixed income

Designing a fixed income strategy for both resilience and recovery

Designing a fixed income strategy for both resilience and recovery

Fixed income

COVID-19 has shaken up high yield and put opportunities on the table

The asset class is always prepared for a crisis, but the uneven impact of the virus means fundamental credit analysis is more important than ever .

Fixed income

Global Strategic Bonds strategy - Strong month across the board for fixed income

Core government bond yields lowered over the month, breaking recent tight range

Fixed income

Why might China’s property dollar bonds remain a resilient yield generator?

Fixed income

Fixed Income in COVID-19: Adapting to protracted low interest rates