
Alternatives Private credit quarterly roundup: Liberation Day market responses
Experts from Invesco's bank loan, direct lending and distressed credit teams to share their views from the second quarter of 2025.
Our second global fixed income study (2019) provides insights on the views, opinions and experiences of 145 fixed income specialists, responsible for the fixed income components of portfolios totalling US$14 trillion in AUM1.
These specialists work across pension funds (both defined benefit and defined contribution), sovereign wealth funds, insurers and wholesale investors including private banks, diversified fund managers, multi-managers, and model builders.
With the end of the cycle considered to be in sight and some seminal changes to consider in relation to the construction of global fixed income assets and their role in wider portfolios, fixed income investors are facing more challenging conditions ahead.
Experts from Invesco's bank loan, direct lending and distressed credit teams to share their views from the second quarter of 2025.
We speak with IFI portfolio managers about the factors driving US investment grade and how they are navigating the current fixed income environment.
April's fixed income markets saw mixed performance and volatility. Read our latest thoughts on how fixed income markets fared during the month and what we think you should be looking out for in the near term.