Bonds
Investment | 16 Feb 17
The top five contrarian plays of the year so far
From betting on Europe over the US to sticking by emerging market debt, we look at five ways portfolio managers have stepped outside the box early on in 2017.
Macro Views | 15 Feb 17
Is political risk in Europe a buying opportunity?
Political risk in Europe is likely to be short-lived and presents a buying opportunity for European high yield credit, according to Craig Ellinger, UBS Asset Management’s Chicago-based global head of high yield.
Fixed Income | 13 Feb 17
Volatility to rock corporate credit, says Goldman Sachs AM
Stronger volatility is coming and credit risks are not properly priced to reflect the change due to investors chasing yield, said Jonathan Xiong, head of the fixed income alternatives group at Goldman Sachs Asset Management.
Emerging Markets | 27 Jan 17
EM bond funds to watch based on their AuM
There has been little movement in the top ranking global emerging markets bonds funds in terms of their assets under management in the past 12 months.
Emerging Markets | 27 Jan 17
Newcomer EM bond funds to watch
The evolution of the EM bond fund asset class has seen recent launches emphasise either flexibility, blended strategies for instance, or specific areas of the market, such as short duration funds.