Private Capital for the Long Term Fixed Income & Credit, Private & Alternative Markets PGIM’s Michael Jones came to Australia in 2016 to build a corporate private debt business in Australasia Read More
A Closer Look at Fixed Income Sub Asset Classes Fixed Income & Credit, Opinion In this opinion article, George Lin draws on his extensive experience in fixed income investing and examines the role this asset class plays in portfolio construction Read More
IG Bonds and the Last Rate Hike Fixed Income & Credit Investment grade bonds often produce some of their best performance in the three years after the last rate hike in a cycle. We speak to Capital Group’s Haran Karunakaran about the implications for investors Read More
Diversification Through Non-traditional ABS Fixed Income & Credit, Private & Alternative Markets The market for non-traditional asset-backed securities has grown to nearly a trillion US dollars today. We speak with Brown Brothers Harriman’s Neil Hohmann about the unique characteristics of these securities and their role in an institutional portfolio Read More
US Corporate Bonds And The Recession Economics, Fixed Income & Credit If the widely anticipated recession in the US will take place, then US investment grade corporate bonds could prove a good place to be, Capital Group’s Flavio Carpenzano says In 1990, Australia was faced with an environment of high interest rates as central banks sought to unwind the excesses and rapid asset price increases of […] Read More
Credit Investments in a Total Portfolio Context Asset Owners, Fixed Income & Credit, Opinion Craig Dandurand introduces four lenses through which one can view credit in a total portfolio framework Read More
Tiptoeing Back into EM Debt Emerging Markets, Fixed Income & Credit The year 2023 is shaping up to be a more positive year for emerging market debt and Capital Group’s Harry Phinney has cautiously increased allocations to several of the market’s regions. Read More
Real Estate Moves Away from Dysfunction Fixed Income & Credit, Real Estate Whereas 2022 was a year where the real estate debt market bordered on dysfunction, Heitman’s David Maki is optimistic that 2023 will be a more balanced year. Read More
Climate, Biodiversity and Fixed Income ESG, Fixed Income & Credit Fixed income investors have the ability to be more granular in their approach to sustainable investing than equity investors. We talk to Tom Lyons of Allspring about how this can be implemented in relation to not only climate change, but also biodiversity Read More