Credit

Highlight

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10ДЕК 2019

Outlook 2020: Global credit

Corporate bond returns are likely to be more moderate in 2020, led by income.

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04ДЕК 2019

2019

ОКТЯБРЬ

25ОКТ 2019

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Three myths surrounding ESG in emerging market debt

Many feel that a focus on ESG is not compatible with emerging market debt investing. We disagree.

22ОКТ 2019

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What happens to high yield bonds in times of market stress?

We look at whether investors are right to be wary of high yield bonds amid rising macroeconomic and geopolitical uncertainty.

16ОКТ 2019

Экономика

The "inescapable truths" one year on: what's changed?

A year ago we identified the disruptive and economic forces that we thought would shape the decade ahead for investors. These were our "inescapable truths". But do they still hold true?

СЕНТЯБРЬ

17СЕН 2019

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Fallen angels: why passive investors may face greater risks

Passive corporate bond investors could face significant losses when the next economic downturn hits. Active managers, however, have more flexibility and should be able to manage these risks more efficiently.

12СЕН 2019

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The surprising diversity of bond markets

The extent of the diversity of global fixed income markets, and the scope for achieving strong returns while managing risk, may be underappreciated by investors.

04СЕН 2019

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Six reasons why it can make sense to buy a bond with a negative yield

Investing in a negative yielding bond effectively locks in a loss, but can still be a rational thing to do. Here we look at six reasons why.

АВГУСТ

15АВГ 2019

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Why USD corporate bonds are set to attract international investors

The falling costs of hedging mean international investors could be more attracted to US dollar corporate bonds.