Fixed Income

Investment analysis for yield and duration-focused investors

SAFI turns 2: Delivering consistent alpha, controlled risk
  • 17 hours ago

SAFI celebrates 2 years of disciplined, factor-driven fixed income investing with strong, consistent performance and robust risk management for clients.

Software’s Big Sell-Off: Structural Risk or Narrative Noise?
  • 17 hours ago

AI concerns are forcing a rapid reset of software stocks. But disruption rarely unfolds as fast as markets expect. Software stocks have suffered a rude awakening amid fears that artificial intellig...

Geopolitical Risk and Asset Pricing Across Market Regimes
  • 17 hours ago

This paper examines how geopolitical risk (GPR) is transmitted across global financial markets by analyzing its effects on equities, sovereign bonds,...

An evergreen future for emerging market private credit?
  • 17 hours ago

Recent volatility in US private credit has exposed strains within evergreen funds holding long-dated, illiquid loans. Felipe Berliner explains why emerging market private credit may offer a better...

Investing in Private Debt
  • 04 Mar 2026

Investment opportunities in directly originated loans.

Mind the Inflection Points: Global & Active Management
  • 04 Mar 2026

The breadth of the investable universe is also an important consideration in global fixed income. As of 31 December 2025, the Bloomberg Global Aggregate Index is substantially larger than domestic...

Tax Highlights from the 2026 Nova Scotia Budget
  • 04 Mar 2026

Nova Scotia’s 2026/27 budget projects a $1.24B deficit, rising debt, no income tax changes, higher financial institution tax, and new levies on EVs and hybrids.

Iran conflict: Geopolitics drives volatility – the real risk lies in inflation and interest rates
  • 04 Mar 2026

Immediate reactions in Latin American financial markets to the recent developments in Venezuela have been largely muted. Nevertheless, two potential consequences have come into focus: possible effe...

Why credit markets offer greater control during disruption
  • 04 Mar 2026

As investors reassess business model durability, capital intensity and long-term monetisation, market narratives have become more volatile and polarised.