Fixed Income

Investment analysis for yield and duration-focused investors

Energy security as the driver for Europe's green transition
  • 20 hours ago

It may be an unintended consequence of geopolitical tensions, but energy supply disruption may end up accelerating Europe’s transition toward a more self-sufficient energy system, while sharpening...

Mapping out the Iran war’s enduring impact on fixed income markets
  • 20 hours ago

We favour sticking to medium-term convictions – and capitalising on short-term dislocations – as the energy shock continues to play out.

Market neutral - Why standing still in credit may carry more risk than investors realise
  • 20 hours ago

As volatility returns to credit markets and dispersion increases, a market neutral approach offers investors a way to stay invested while reducing reliance on market direction and capturing relativ...

The New Credit Order: Public Meets Private
  • 20 hours ago

Public and private credit markets are evolving fast, reshaping how investors think about risk, return and liquidity. In this episode of Fixing Your Interest, we explore what’s driving today’s credi...

Bond Bulletin: EM resilience amid global stress
  • 20 hours ago

Geopolitical turbulence has tested emerging market debt but the asset class has remained resilient. Yields are higher, currency has held and the fundamental investment case remains intact. This wee...

Corporate hybrid boom comes with pricing risks
  • 20 hours ago

Corporate hybrid issuance is on track for a record year in both Europe and the US, driven by expanding supply well beyond the traditional utilities, energy, and telecoms issuers.

Investment themes for emerging market debt Q2 2026
  • 22 Apr 2026

Five charts to explain the outlook for emerging market debt in Q2.

Unravelling myths: The hidden truths of Emerging Market Debt
  • 22 Apr 2026

This paper challenges common misconceptions about emerging markets, highlighting the evolution and long‑term potential of hard currency EM sovereign debt.

Flash Fixed Income: Risks unbalanced as “war premium” fades
  • 22 Apr 2026

Sharp swings in government and corporate bond markets since the onset of the Middle East conflict pose interesting questions for fixed income investors.