Category: Fixed income

Category: Fixed income

07.12.2018

Positioning for market volatility

A discussion of the macroeconomic reasons behind market volatility, Brexit, quantitative tightening, and their effects on equities and bonds.

07.12.2018

The effect of quantitative tightening

The effect of quantitative tightening on markets and the outlook for interest rates.

04.12.2018

Looking for a safe harbour

When markets get choppy, high-quality corporate credit can provide a relative safe haven for investors, explains Lloyd Harris.

04.12.2018

Seizing the moment

After multi-decade trends in the bond market were finally breached in 2018, Mark Nash looks at what investors can expect...

04.12.2018

When headwinds become tailwinds

There’s a new normal for banks 10 years after the global financial crisis, argues Rob James.

04.12.2018

2019 Wall Charts

Nicholas Wall looks at the charts piquing his interest in 2019.

26.10.2018

European Commission rejects Italian budget

Nicholas Wall, manager of the Merian Strategic Absolute Return Bond Fund, comments on the Italian budget.

25.10.2018

Food of the Gods

CoCos are a growing asset class with attractive yields and low volatility. What’s not to like?

13.08.2018

Turkey’s crisis: policy response disappointing so far

Delphine Arrighi comments on the Turkish economic crisis.

02.11.2016

Bank bonds: why it pays to look under the bonnet

The world of banking can be complicated to understand, with peculiar language and impenetrable accounting concepts.

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