diversification
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AJ Bell Investcentre launches Gilt MPS charging 0.10% per year
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Why are bond markets selling off and what should investors do? AJ Bell’s Khalaf explains the current downturn
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Janus Henderson to manage insurer Guardian’s $45bn investment grade, public fixed income assets in new strategic partnership
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M&G’s Andrew Chorlton on Trump tariffs, market volatility, and fixed income positioning
As markets digest the implications of renewed trade tensions, Andrew Chorlton, Chief Investment Officer of Fixed Income at M&G, offers insights on…
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PIMCO’s Dan Ivascyn shares latest market views from the Investment Committee
In a new video, Dan Ivascyn, Group CIO at PIMCO, shares the latest market views from PIMCO’s Investment Committee. He explains why volatility…
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PIMCO on Europe’s Economic Struggles: A Silver Lining for Fixed Income Investors
As the European economy, particularly Germany, struggles with stagnant GDP and structural issues such as lagging technology and high energy prices, we…
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Guest insight: Bond bull market fuels active opportunities across the yield curve says PGIM Fixed Income’s Peters
Bond market strength in 2024 still presents active investment opportunities according to Gregory Peters, Co-Chief Investment Officer PGIM Fixed Income, as he…
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Potential positive catalysts for vulnerable UK assets: PGIM Fixed Income
The UK’s recent gilt yield spike highlights its fiscal vulnerability, driven by investor concerns, economic fragility, and global financial shifts. Katharine Neiss,…
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What are the consequences of a widening Fed/ECB interest rate gap?
A Q&A with Patrick Barbe, European fixed income head at Neuberger Berman Recent comments from ECB members point to a rate cut…
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JPMAM’s Stealey: Navigating market expectations in a new political era
Iain Stealey, International CIO for Fixed Income at J.P. Morgan Asset Management, shares his thoughts on the economic impacts of a new…
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US inflation hits 2.9% in December – reaction from investors
In the last such announcement of the Biden Presidency, US CPI data released today shows that inflation in the US rose by…
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Aviva Investors appoints Gita Bal as Head of Fixed Income Research
(London) Aviva Investors, the global asset management business of Aviva PLC (‘Aviva’), has announced the appointment of Gita Bal as Head of…
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What rising gilt yields mean for investors
Written by Laith Khalaf, head of investment analysis at AJ Bell The bond market has taken fright from the growing sense of…

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Ossiam expands product range with launch of absolute return multi-strategy fixed income fund
Ossiam, a global investment management company specialised in quantitative strategies, has announced the launch of the Ossiam Multi Fixed Income Opportunities Fund…
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Alternative avenues: the role of alternatives in a multi-asset portfolio
We were delighted to host our recent webinar in partnership with Legal & General Investment Management (LGIM). When it comes to alternative avenues,…
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Fixed income markets weather November uncertainty with focus on 2025 outlook
After some uncertainty driven by the US election earlier in the month, bond markets generally performed well in November. Flows into fixed…
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Outlook 2025: How will Trump’s policy affect the fixed income world?
Written by Mark Nash, Investment Manager, Fixed Income Absolute Return at Jupiter Asset Management Donald Trump’s return as the next US president…
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Fidelity International’s Mike Riddell: mixed picture facing global fixed income investors for 2025
Mike Riddell, new portfolio manager on Fidelity’s Strategic Bond Fund, comments on the outlook for fixed income markets in 2025 and how…
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CIO Perspective: Positioning for resilience in fixed income
By David Knee, Deputy CIO, Fixed Income at M&G Investments The last two years have challenged accepted economic theory: despite the 5%…
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Exploring the role of alternatives in a multi-asset portfolio
In an insightful webinar hosted by IFA Magazine, experts from Legal & General Investment Management (LGIM) delved into the evolving role of…
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From fragility to greater stability: economic outlook and investment strategies in the Euro area
Despite a weak growth outlook, the Euro area’s increased resilience and stability makes European fixed income investments attractive say Peder Beck-Friis and…
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State Street Global Advisers: Is Trump a Green Light for Convertibles and US High Yield?
The Trump election victory has been so far much more supportive for equities than for bonds. The prevailing risk-on mood suggests sticking…
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Capital Group: Have investors missed the rally in stocks and bonds?
It’s been over a year since the Federal Reserve paused its rate hikes—a moment we believed would be a turning point for…