Fixed Income

Investment analysis for yield and duration-focused investors

Global Investment Grade Update: Kevin Warsh set to become the next Fed Chair
  • 15 hours ago

Kevin Warsh, who is set to be the next chair of the Federal Reserve, has cleared ​a key procedural hurdle in the Senate, moving him closer to Senate confirmation.

Cross Asset Investment Strategy - May 2026
  • 15 hours ago

Despite the uncertaintiy surrounding the conflict in the Middle East, the case for emerging market equities and fixed income looks strong.

EM debt: reading the shock and finding opportunities
  • 15 hours ago

EM debt is driven by global rates and the dollar, but stronger policy credibility has improved resilience. Selective value remains in local-currency debt,...

Pairing US and European AAA-rated CLOs to enhance income opportunities
  • 12 May 2026

Learn why pairing US and European AAA-rated CLOs may enhance income, reduce duration risk, and improve diversification.

Public insights on private credit: Déjà Vu: History doesn’t repeat, but it sure rhymes
  • 12 May 2026

Benefit Street Partners believes investors with the discipline to underwrite rigorously and the conviction to deploy, today’s environment represents a compelling opportunity to put capital to work.

Private assets: a new return architecture
  • 12 May 2026

Explore our long-term views on private equity, private debt, hedge funds, infrastructure and real estate, and their role in strategic asset allocation.

In Credit Weekly Snapshot – Hold on tight
  • 12 May 2026

Emerging market bonds have been the standout performers recently, with spreads at their narrowest level of the year. Elsewhere, yields in core markets came under marginal downward pressure.

Corporate Credit Snapshot - May 2026
  • 12 May 2026

Global credit delivered positive returns across the board in April, with spread tightening as the primary driver of performance.

Deal selection critical as credit shrugs off Iran conflict
  • 12 May 2026

Credit markets have been remarkably resilient in the face of significant geopolitical and macroeconomic volatility in recent weeks.