Our website uses cookies to enhance your experience and to help us understand how you interact with our site. Read our full Cookie Policy for more information.
Fixed Income
-
What has the budget meant for fixed income? Fund managers and economists share their views
Three weeks on from Chancellor Rachel Reeves’ big first budget, there has been plenty for investment managers and economists to consider, in…
-
Invesco: Fixed Income ETF flows remain resilient despite bond market turbulence
Written by Paul Syms, Head of EMEA ETF Fixed Income and Commodity Product Management at Invesco Bond markets broadly performed poorly in…
-
Trump’s Second Act: PIMCO’s Cantrell considers what we might expect in 2025 and beyond
Even with Republicans poised to control the White House, the Senate, and the House of Representatives, slim congressional majorities could hinder the…
-
Why now is the time for fixed income
In this exclusive interview with PIMCO’s Ryan Blute and Terry Oh, we explore some of the reasons why they are excited about…
-
abrdn’s Mondillo reflects on Trump and Credit markets
Jonathan Mondillo, Global Head of Fixed Income, abrdn, reflects on debt markets and shares his analysis with us following the Trump victory…
-
Rathbones’ Jones: “Forget the US for a minute. Reeve’s fiscal headroom is dead. Now gilts need to stabilise, fast.”
Sharing his analysis of last week’s budget and today’s Trump election win, Rathbones Asset Management’s Head of Fixed Income, Bryn Jones, looks…
-
US bonds in turmoil – what’s really at play?
By Gael Fichan, head of fixed income at Bank Syz The U.S. bond market is experiencing heightened volatility, driven by a 60-basis-point…
-
Neuberger Berman: Beware of buying the dip in bonds
By Ashok Bhatia, co-chief investment officer – fixed income at Neuberger Berman Government bonds have sold off rapidly; here’s why it’s not…
-
M&G launches sustainable bond strategy with impact specialist responsAbility
M&G today announced the launch of its first sustainable corporate bond strategy in collaboration with responsAbility, the Swiss-based asset manager with a…
-
From Fragility to Greater Stability: Economic Outlook and Investment Strategies in the Euro Area
By Nicola Mai, Economist and Sovereign Credit Analyst, and Peder Beck-Friis, Economist, at PIMCO While the Euro area grapples with a lackluster…
![](https://ifamagazine.com/wp-content/themes/cliftonmedia/assets/images/IFA-Talk-backgrond-image.jpg)
![IFA Talk logo](https://ifamagazine.com/wp-content/uploads/2022/08/IFA-talk-logo-white.png)
IFA Talk is our flagship podcast, that fits perfectly into your busy life, bringing the latest insight, analysis, news and interviews to you, wherever you are.