DFMs brace for ‘the most inflationary environment in years’
Investors making plays on gold, short duration and infrastructure as lingering pandemic means pushback against loose fiscal policy is unlikely
Investors making plays on gold, short duration and infrastructure as lingering pandemic means pushback against loose fiscal policy is unlikely
Georgia result set to result in $600bn extra in near-term fiscal stimulus
Currency hedging global bond portfolios can help investors in fixed income cut volatility while maintaining returns
Video: Royal London Asset Management sterling corporate bond manager on the pandemic, rates and Brexit
Outlook looks brighter due to higher growth, fewer liquidity issues and positive sentiment
Asset class was touted as ‘the bargain of the century’ shortly after Covid sell-off but spreads have narrowed significantly
Covid bonds focused on tackling unemployment in Europe have landed AAA ratings
Investors voted with their feet in October pulling more than £350m
Latest rebalance also sees Blackrock Corporate Bond fund removed due to costs
Morningstar data shows bond funds dominating rival asset classes with £22bn in monthly flows
Fixed income team were shunned by Jupiter during the Merian Global Investors acquisition
Sovereign and investment grade managers struggle to keep pace with deluge of monetary and fiscal stimulus