Understanding the Resiliency of Emerging Market Debt Amid Global Volatility

Understanding the Resiliency of Emerging Market Debt Amid Global Volatility

🕔16:14, 21.May 2023

Is the long-term case for emerging market debt still intact? In this research paper, Kirstie Spence discusses the outlook for emerging market debt and how it has been impacted by the global economic backdrop. She emphasizes that despite the current

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Fixed income at Capital Group: Targeting predictable outcomes to deliver on expectations

Fixed income at Capital Group: Targeting predictable outcomes to deliver on expectations

🕔12:16, 21.May 2023

Mike Gitlin, Capital Group’s head of fixed income, sets out the importance of investing in bond funds that deliver on their stated objective. He also explains what differentiates Capital Group from industry peers. We’ve heard you talk about the four

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Shifting Sands: The Argument for a High-Inflation Regime

Shifting Sands: The Argument for a High-Inflation Regime

🕔11:45, 21.May 2023

The text opens a discussion around the expectation of financial markets for headline inflation rates to drop significantly towards central bank targets over the next couple of years, maintaining stable inflation expectations in the medium to long term. However, the

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Fixed Income in the Post-COVID World: Reimagining Core Bonds

Fixed Income in the Post-COVID World: Reimagining Core Bonds

🕔10:26, 21.May 2023

What the ‘next normal’ means for fixed income: reimagining core bonds That the ‘next normal’ means for fixed income: reimagining core bonds This article explores the “next normal” for fixed income investments in the post-COVID world. After a long period

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