Standish’s Raman Srivastava and Newton’s Khuram Sharih consider how increased issuance in 2016 will impact bond market volatility and appeal.
Innovative approaches for a new era in secular fixed income.
Climate change has been a growing concern among investors. The research team at Standish shows that there may be a way to significantly reduce the carbon impact of corporate debt portfolios without necessarily diminishing potential returns.
Investors continue to grapple with historically low US interest rates and the exposure they should take in portfolios to US aggregate benchmarked fixed income.
Multi-century records are rare in every field, particularly for capital markets. On January 14, 2015, the U.S. Bond market crossed a rare multi-century threshold.
Paul Hatfield still sees opportunity in loans, even as Alcentra watches for overheated valuations and deteriorating credit quality.