Read More
Read More
Read More
In this webcast, our experts explore the catalysts of recent market turbulence and outline the challenges posed to fixed income investors.
In this webcast, our experts explore the role of securitisation in Europe and unpack the reforms required to build opportunity for investors and borrowers whilst advancing the stability the financial systems.
In this session, our experts discuss the outlook and potential shocks for emerging market countries, credit issuers, and local rates posed by new U.S. tariffs.
Our experts discuss the potential implications of U.S. tariffs on Europe and outline how affected countries and credit issuers might respond.
The first webcast installment details the potential macroeconomic outcomes for the U.S., and dive deeper into the resultant impact to key U.S. sectors.
Increasing global climate challenges can add complexity for investors seeking to manage risk and impact across corporate fixed income investments.
Given the broader opportunity set offered by the global fixed income markets, we make the case for hedged global bonds.
Explore recent developments in major commodity markets and the risks to inflation of a more persistent and drastic increase in global commodity prices.
Our latest thinking on central banks' policies in advanced economies and their likely implications for asset prices.
Discussing relative asset class valuation shifts and why we think fixed income and spread products in particular-could benefit from such asset class rotations.
Let us help you navigate today's complex market environment.