The current environment is marked by policy volatility, as markets grapple with ongoing inflationary pressures and a ...
Capital Group’s 2026 outlook points to higher valuations, broader market leadership, and renewed bond income, signaling ...
As market leadership shifts and volatility persists, L&G’s Head of Investment Strategy Asia Ben Bennett makes the case for ...
Targeting the highest-yielding asset classes can leave investors exposed to significant market risk. Here are tips to ...
The report examines conditions heading into 2025 and 2026 and argues that markets have adapted more successfully than many ...
Fixed-income markets are back in focus ahead of Budget 2026 as investors track fiscal consolidation, stable sovereign yields and global rate volatility. Experts say disciplined deficit guidance, ...
Principal Asset Management has flagged resilient fixed income markets as selective opportunities emerge amid easing policy ...
After a year of interest rate cuts across most developed nations, central bank policy is likely to be a key driver of fixed income markets in 2026, industry commentators have told Portfolio Adviser.
Fixed income markets project that the Fed will hold interest rates steady at the first scheduled meeting of 2026.
Advisers and investors are increasingly focused on fixed income solutions that provide both reliable income and portfolio ...
Equity fund flows were more volatile compared to fixed income, with investors retreating in Q2 2025 after US President Donald ...
BlackRock’s Steve Laipply traces the evolution of fixed-income ETFs, from their skeptical early reception to becoming a core liquidity and price-discovery tool across global bond markets. Are bonds ...