Fixed Income

Investment analysis for yield and duration-focused investors

Fixed Income Investing for Stronger Portfolios
  • 05 May 2026

Explore our range of active fixed income investing solutions designed to help global investors build stronger portfolio and manage risk effectively.

Monthly Checkpoints
  • 05 May 2026

Checkpoints is a comprehensive monthly chartbook highlighting major top-of-mind themes that could shape financial markets in the near term. In addition to the broader macroeconomic discussion, Chec...

Emerging Asia (ex China) government bonds monthly
  • 05 May 2026

Explore monthly insights on key developments across India, Indonesia, Malaysia, the Philippines and Thailand government bond markets. Read the report.

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

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

Real estate credit: targeted solutions for a shifting market landscape
  • 05 May 2026

As valuations reset and macro uncertainty persists, real estate credit can provide attractive yields backed by institutional-quality real estate, without needing to time the bottom. Bespoke loan st...

Muzinich Weekly Market Comment: On the starting blocks
  • 05 May 2026

As conflict-driven energy shocks ripple through economies, the world’s leading central banks remain on the starting blocks – poised but cautious, holding rates steady as they await clearer signals....

The state of play in fixed income as Iran tensions reignite
  • 05 May 2026

With tensions in the Strait of Hormuz increasing over the weekend and markets getting used to oil prices well in excess of $100 per barrel, this seems an opportune moment to zoom out and look at th...

Central Bank decisions in focus as the energy shock extends
  • 05 May 2026

US-Iran ceasefire strains kept oil stress in focus as G4 central banks stayed on hold. EM policy diverged, with Brazil cutting rates, Indonesia pledging FX support, and Vietnam’s outlook upgraded.

Bond navigators: Are markets ignoring geopolitics?
  • 05 May 2026

Markets seem odd sometimes. Once upon a time, the first reaction to something like the US / Iran situation would have been for risk assets to sell off and government bonds to outperform as investor...