Fixed Income

Investment analysis for yield and duration-focused investors

Public insights on private credit: Déjà Vu: History doesn’t repeat, but it sure rhymes
  • 19 hours ago

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
  • 19 hours ago

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
  • 19 hours ago

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
  • 19 hours ago

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
  • 19 hours ago

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

Beyond the headlines: Navigating today’s private credit landscape in Europe
  • 11 May 2026

Manager at Invesco, takes a closer look at recent developments in private credit and outline why selectivity, structure, and discipline are central to navigating the current environment

ABS: A portfolio diversifier for volatile times
  • 11 May 2026

With the Middle East conflict clouding the outlook for inflation and interest rates, TwentyFour Asset Management’s Doug Charleston explains why asset-backed securities (ABS) could be a valuable div...

Bond Voyage: Emerging markets have changed: why markets shouldn’t price them like its 2013
  • 11 May 2026

Emerging markets have increasingly forged for themselves a path less dependent on external conditions, making local currency debt one of the most mispriced narratives in global markets.

Global Macro Insights: April 2026
  • 11 May 2026

The Middle East conflict dominated April headlines, keeping oil prices elevated. However, the Templeton Global Macro team observed that risk sentiment improved: the US dollar weakened, US Treasury...