Fixed Income

Investment analysis for yield and duration-focused investors

Why our long-term bullish thesis for gold remains intact
  • 20 hours ago

Discover why gold remains a strong long-term investment despite short-term volatility. Learn how Fed policy, real yields, and central bank demand drive gold prices.

From rally to reality: credit markets enter a new phase
  • 20 hours ago

360°

Multi-Asset: Market Update June 2026
  • 20 hours ago

Markets continued to be volatile in June but both equity and bond markets ended the month modestly higher.

Emerging Asia (ex China) government bonds monthly
  • 02 Jul 2026

Explore monthly insights on key developments across India, Indonesia, Malaysia, the Philippines and Thailand government bond markets. Read the report.

The greenium myth: do investors give up returns?
  • 02 Jul 2026

Investors have long assumed that green bonds carry a “greenium,” requiring lower yields than comparable conventional bonds. While this was often true in the market’s early years, growing market dep...

The case for multi-sector income strategies
  • 02 Jul 2026

This year, fixed income markets have exhibited elevated levels of interest rate volatility, whereas credit spread volatility has been more contained.

Equity Outlook: AI Enthusiasm Leaves Little Margin for Error
  • 02 Jul 2026

AI is creating opportunity, but risks abound. Investors should prepare for a range of outcomes. Global equities rebounded in the second quarter as confidence in the AI investment cycle strengthened...

Should investment grade prime office landlords worry about AI?
  • 02 Jul 2026

AI is reinforcing prime office demand in the short term, but the bigger question is whether productivity gains will ultimately limit hiring and space needs.

Bond Bulletin: Emerging market debt’s resilience
  • 02 Jul 2026

Emerging markets have weathered another external shock well, as the latest move in energy prices translated into a more manageable inflation impulse than initially feared. In this week’s Bond Bulle...