Fixed Income

Investment analysis for yield and duration-focused investors

Investment Weekly
  • 22 May 2026

Bonds stalk the stock market

The week in markets: Bonds tighten their grip
  • 22 May 2026

Borrowing costs climbed and took centre stage this week, while Nvidia’s standout performance met a relatively muted market reaction, underlining just how high expectations have become.

Flash Fixed Income: The UK political crisis premium
  • 22 May 2026

UK government bond yields have pushed higher this month as markets have digested a building political crisis, with the prime minister, Sir Keir Starmer, now set to face a Labour Party leadership co...

Market Flash: Mild euphoria
  • 22 May 2026

•    In the absence of adecisive diplomatic progress, markets are swinging between worry and renewed optimism. The high volatility in interest rates reflects uncertainty over the trajectory of pric...

Making flexibility count in today’s corporate credit markets
  • 22 May 2026

Against a backdrop of geopolitical uncertainty and tight valuations, being able to invest flexibly across the entire credit universe provides greater scope to identify opportunities and manage risk.

Gilt-y As Charged
  • 22 May 2026

U.K. yields are paying a political risk premium.

AI Credit Expansion: Assessing the Micro and Macro Risks
  • 22 May 2026

Today’s AI financing wave looks more disciplined than past infrastructure investment booms, yet it still demands selectivity.

Global bond yields—The kettle is whistling
  • 22 May 2026

Developed-market bond markets are sending a message that investors can no longer afford to ignore. What began as a higher-for-longer rate adjustment has evolved into something much broader.

Private Credit: Staying Flexible as Markets Shift
  • 22 May 2026

Credit markets continue to shift, reshaping where opportunities emerge for investors. In this Milken Institute Global Conference follow-up, portfolio managers Kris Kraus and Russell Gannaway explai...