Fixed Income

Investment analysis for yield and duration-focused investors

Denmark continues to dominate country ESG rankings
  • 29 May 2026

See which countries lead ESG in 2026, how governance shapes outcomes, and why cybersecurity is now a sovereign risk factor.

Real yields, flows, and geopolitics: What’s driving gold now
  • 29 May 2026

Short-term gold forecasts have been revised downward, reflecting the repricing of Federal Reserve expectations and the rise in short- and long-term interest rates observed in recent weeks.

The week in markets: Temperatures are rising, and so are markets
  • 29 May 2026

In a strong week for markets, with record equity highs and falling bond yields, driven by lower oil prices and improving inflation signals, optimism is building but it's still not secure.

Asian and EM fixed income: how higher global spending is driving credit markets
  • 29 May 2026

Our H2 outlook for Asian and emerging-market USD credit highlights the strong tailwinds of higher global spending, solid fundamentals and domestic savings.

Market Flash: Hormuz calms down and AI runs riot
  • 29 May 2026

•    Diplomatic progress between the US and Iran has eased geopolitical concerns, pushing oil prices back below $100 a barrel and propelling the S&P 500 to a record high. •    US GDP figures for th...

Diversify for a new regime with multi-asset strategies and real assets
  • 29 May 2026

As stock-bond correlations rise, diversification must evolve. Discover how multi-asset strategies and real assets can improve portfolio resilience.

Prioritize income and resilience with active short duration and multi-sector credit
  • 29 May 2026

Amid rate volatility and credit spreads remaining tight, focusing on selectivity and active positioning can help generate returns through income and carry.

Mid-Year Credit Outlook 2026
  • 29 May 2026

Private Credit: the cracks have widened
  • 29 May 2026