How I Learned to Stop Worrying and Love the Bond…

How I Learned to Stop Worrying and Love the Bond…

🕔03:04, 13.Apr 2019

Systematic Fixed Income Outlook Bonds have returned to offsetting economic (and equity) risk in investor portfolios and the outlook for dampening inflation played the critical role fueling the change. The lack of inflation pressure enabled the Fed's dovish pivot, fueling

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Asset Allocation Consensus June

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UBP: "Longer-lasting low interest rates, challenging liquidity conditions and abundant political risks demand for adapted solutions within the defensive fixed-income space". Intrigued? Read the whole research paper on OpinioPro: https://t.co/N1y01uv8hr

UBP writes: "The flexible #bond universe can be complex to analyse given the variety of strategies that are implemented. We suggest..." Read the whole paper here: https://t.co/N1y01uv8hr

Invesco writes: "#Volatility in #equity markets in late 2018, coupled with the start of quantitative tapering, has highlighted..." Read the whole study here: https://t.co/6UMfVaNZkR

UBP observes: "The significant shift in #Fed policy has created a more constructive economic risk outlook. As a result..." Read the whole #outlook here: https://t.co/jlNTFp5V6M

Invesco writes: "Rising yields, strong #equity markets, and special contributions in recent years have improved funding ratios of..." Read the whole study here: https://t.co/6UMfVaNZkR

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