The outlook for corporate bonds as the economy slows
High corporate bond yields have drawn investors to the asset class since the start of the year, but the banking turmoil have proved a timely reminder of the risks. At the same time, the sector face...
Adviser-Hub 14th Apr 2023
Market view: Why fixed income could be more attractive now
Shamik Dhar, chief economist at BNY Mellon Investment Management, shares his views on why fixed income could be more attractive now than it’s been in decades.
BNY Mellon Investment Management 13th Apr 2023
Multi asset income investment in a higher yield world
Fidelity Multi Asset Income portfolio manager Eugene Philalithis examines why multi asset investing can provide a more consistent yield over the long term.
Fidelity International 13th Apr 2023
Global updates: Pressure on the banking sector
The banking sector was plunged into crisis during March as the collapse of two US banks and Credit Suisse in Europe raised questions about the strength of the financial system.
Adviser-Hub 12th Apr 2023
UK market review: “Nothing is decided”
Against a backdrop of market volatility triggered by a new banking crisis, the Bank of England said that the UK’s banking system remains “resilient”, although it acknowledged that...
Market briefings looking back at March
A selection of articles, written by our expert investment writers that cover the markets looking back through March.
The Week: Sterling reverses
The pound has reversed its recent weakness. Its momentum may be tentative, but it could herald a new era for UK assets.
Baillie Gifford | Scottish Mortgage – Your questions answered
From investing in private companies to the resilience of holdings, Scottish Mortgage’s Tom Slater and Lawrence Burns answered shareholder questions in this recent investor webinar.
Baillie Gifford 11th Apr 2023
Scottish Mortgage – Your questions answered
After the storm: government bond markets
After a dramatic adjustment in 2022, it has been a more stable period for government bond markets. For the first time in a decade, they appear to be back to normal, providing yield, capital protect...
Adviser-Hub 11th Apr 2023
Turbulent markets: the impact of banking fragility
Turmoil in the banking sector has created significant volatility across bond markets in recent weeks. While the emergency rescue deal between Credit Suisse and UBS plus reassurances from central ba...
Adviser-Hub 6th Apr 2023
What the SVB collapse means for investors
For more than a year, investors have wondered what might prompt the Fed to alter its aggressive rate-hiking path. The collapse of SVB Financial may have provided the answer.
Capital Group 6th Apr 2023
Sustainable dividends: the pursuit of quality and prudence
With the fight against inflation still under way amid the banking turmoil, dividend-income investment opportunities could grow in importance and play a significant role in total return.
How vulnerable is EM debt to volatility spillovers?
The three major factors driving EM debt – US financial conditions, the dollar and global growth – look likely to have been changed by the shock to the banking sector.
Ninety One | Why gold has regained some of its lustre
Ninety One’s George Cheveley shares insights gained from conferences abroad, where he has been both a speaker and a delegate, and pays particular attention to gold.
Ninety One 6th Apr 2023
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