Investment analysis for yield and duration-focused investors
Our new Sustainable Investing Report explores how active fixed income helps drive real-economy outcomes through research, engagement and stewardship.
New guidance on the rules governing European money market funds should strengthen the market’s foundations and provide a firm footing for innovation and growth, argues Alastair Sewell.
In our latest quarterly CVC Credit Perspectives report, the CVC Credit team reflects on the factors and trends that have shaped the liquid and private credit markets.
Credit quality, structuring and diversification can support resilient, risk-adjusted returns.
The US and Japan continue to look less anchored than their peers, leaving them as key sources of uncertainty for global rates. This week’s Bond Bulletin discusses what sets these two markets apart.
Given some key variables, our view is that the current data do not make a strong case for the RBNZ making a near-term move in the Official Cash Rate.
In this second quarter update, Western Asset believes global fixed-income markets face a more complex backdrop as geopolitics, rapid AI adoption and private credit scrutiny intersect.
EMD report Q2 2026
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