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There are 74 item(s) tagged with the keyword "FIXED INCOME".

Displaying: 1 - 10 of 74

Seizing value in emerging market debt

Strong growth outlooks are counterbalanced by fiscal headwinds and above-target inflation, requiring a nuanced approach to capture value in emerging market debt.

Tags: Columbia Threadneedle Investments, Fixed Income, Responsible investment, Fixed Income - Emerging Market Debt
Bonds Outlook: Higher for longer is good for fixed income

Higher for longer interest rates need not be a deterrent for fixed income investing. In fact, we think the prospects for bonds are positive against a higher rate backdrop. We explain more in our fixed income outlook.

Tags: J.P. Morgan Asset Management, Fixed Income, Bonds, Markets
Our Short Dated Enhanced Income Fund turns one

Discover a ‘step out of cash’ solution.

Tags: abrdn, Fixed Income
Market jitters highlight the need for duration

As we move further away from a decade of ultra-loose monetary policy, bonds are once again proving their attractive diversification benefits. Our UK fixed income portfolio managers reflect on the recent bout of market volatility and outline the benefits of duration in an environment where investors are increasingly sensitive to weak macro data.

Tags: Fidelity, Fixed Income, UK, Global
Attractive wipeout yields in short-dated credit

Following months of pain for bond markets hit by stubborn inflation and high interest rates, front-end credit remains a relative safe haven for investors, continuing to provide attractive relative risk adjusted returns. Here, our portfolio managers analyse the impact of so-called “wipeout” yields and spreads and outline why current attractive levels mean that the performance of front-end bonds is now much more insulated from further yield rises or spread widening than it has been in the past.

Tags: Fidelity, fixed income
Three reasons why US bonds could outperform

As conditions look ripe for a period of outperformance in US credit markets, Fidelity US Dollar Bond portfolio manager Rick Patel outlines three catalysts that could trigger the Fed to start cutting interest rates.

Tags: Fidelity, Fixed Income, US
China - Supportive Policies Aim to Bolster Growth Amid Challenges

Since the onset of the year, Chinese authorities have embarked on strategic measures to stabilize the capital market and bolster economic growth. The People’s Bank of China (PBOC) has taken significant steps, including a 50 basis point cut in the reserve requirement ratio (RRR) – the largest since 2021 — followed by a historic 25 basis point decrease in the 5-year Loan Prime Rate (LPR). These policy actions have significantly boosted market sentiment, as reflected in the recent uplift in the Chinese stock market. These measures also align with our expectation of a supportive policy landscape in China for 2024.

Tags: monetary policy, Fixed Income, Banks
Invesco Bond Income Plus Ltd – Refuelling the engine

Over the last two years it’s become much easier to earn an attractive level of yield from bonds. Rhys Davies looks at how the improving opportunity set has boosted the level of income in the Invesco Bond Income Plus portfolio.

Tags: Invesco, FIXED INCOME
Q&A: The macroeconomic outlook for fixed income

Liam O’Donnell leads the Artemis fixed income team’s strategy on macro and rates. Here, he provides his thoughts on the current economic backdrop and the implications for the fixed income market.

Tags: Artemis, Fixed Income
Does corruption perception matter to investors?

It's not lost on any investor that nearly half the world's population is set to participate in elections this year, with a select few anticipated to significantly alter a country's trajectory. With this in mind, we ask, do corruption perception trends matter to investors?

Tags: M&G Investments, Fixed Income

Displaying: 1 - 10 of 74