Insurance 2024 investment outlook
Insurers need to diversify return sources, reduce exposure to correlated shocks, and optimise capital efficiency. Selective allocations to private markets can help.
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Our comprehensive suite of fixed income strategies offers income, capital preservation, and diversification, spanning a broad range of credit and liquidity segments across markets, delivered via funds, ETFs and segregated mandates.
Fixed income investments pay you regular interest over a set period and return your original investment (called principal) when they mature. You know up front how much income you’ll receive and when, which makes them a potentially reliable way to generate steady cash flow and preserve capital.
Fixed income includes investments like government and corporate bonds, municipal bonds, Treasury securities, certificates of deposits, and bond-focused ETFs or mutual funds.
Invesco offers a wide range of fixed income solutions backed by experienced managers, innovative tools, and global research. Whether you're looking for income, stability, or diversification, Invesco has options aiming to accommodate your goals.
Invesco focuses on high-quality bonds, actively monitors market conditions, and integrates ESG factors to help reduce risk and mitigate investment risks.
Insurance 2024 investment outlook
Insurers need to diversify return sources, reduce exposure to correlated shocks, and optimise capital efficiency. Selective allocations to private markets can help.
May European ETF Flows
European ETFs gathered US$45bn in May. Explore the latest ETF Snapshot for market flows, upcoming IPOs, fixed income yields and currency hedging, and the outlook for gold.
Global Fixed Income Strategy Monthly Report | June 2026
Discover our Global Fixed Income Strategy Monthly Report, we offer an outlook for interest rates and currencies and look at which fixed income assets are favoured across a range of market environments.
Twenty years, one approach | The Invesco Euro Corporate Bond Fund turns 20 this year
For more than two decades, the Invesco Euro Corporate Bond Fund has actively managed credit and duration across multiple market cycles. This piece explains the fund’s approach, track record and how that same discipline informs its positioning today.
Fixed Income: A strong case for bonds
As economies show resilience, selectivity and care remain critical for bond investors figuring out where to take duration risk and how to think about returns.
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