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diversification
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What are the consequences of a widening Fed/ECB interest rate gap?
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JPMAM’s Stealey: Navigating market expectations in a new political era
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US inflation hits 2.9% in December – reaction from investors
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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…


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.
IFA Talk Podcast – listen to the latest episode
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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…
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Fixed Income: The argument for investing in bonds is the strongest it has been in years says Invesco’s FI team
Analysis from Invesco’s Fixed Income team Over the last couple of years, bonds have been anything but boring. The low-income environment that…
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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…
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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…
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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…
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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…
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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…
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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…
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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…