Search results for 'volatility'

Search results 41-50 of 82
Time for a change in tune
Many investors bought into a soft landing scenario during the course of the summer. However, such an outcome may always be difficult to expedite.
Feeling cheated in the UK?
UK government finances are in poor shape and have been further impacted by Bank of England losses on past asset purchases. Read more.
10 years of securitized credit outperformance
Strong fundamental performance should continue, with the higher rate environment and wider spreads creating a very compelling investment opportunity.
Emerging markets riding the tailwinds
Emerging market expert, Polina Kurdyavko discusses the tailwinds that have helped emerging markets outperform their developed market peers.
Asian takeaways: Sushi special
We discuss Japan’s ‘new normal’ as Covid recedes, corporate governance reform, and the government’s aim to transform the country into a financial hub.
A large influx of issuance in US corporate bond markets
Andrzej Skiba, Head of US Fixed Income, BlueBay Senior Portfolio Manager, discusses why we have recently experienced a heavy dose of new bond issuance
Quick in the transition
And not just in football….
Going global with high yield: Why high yield is outpacing their investment grade counterparts
Claudio Da Gama Rose explains why high yield is outpacing their investment grade counterparts.
2024: a roadmap of geopolitical risk
We look at this year’s unprecedented geopolitical risk levels and the potential impact of elections around the world on fiscal policy.
A spritely economy and geriatric politicians
With equities buoyant and bitcoin rampant, our conversations with policymakers have focussed on the theme of US growth exceptionalism.