
Global Fixed Income Strategy Monthly Report
Get an analysis of important drivers of global fixed income markets, including macroeconomic trends, interest rates, currencies, and credit, in our monthly global strategy report.
*Includes all Invesco Ltd. assets under advisement, distributed and overseen as of December 31, 2024. Total firm AUM is $1.846 trillion.
Whether your plan has an active defined benefit (DB) offering or is in a state of transition, our scalable approach provides a clearer line of sight into your portfolio.
Invesco Vision identifies potential solutions best aligned with your plan’s specific preferences and objectives. Evaluate how each allocation may respond to various shocks so you can stress-test your portfolio before the market does.
DB plans face multiple challenges, from market volatility, risk and disruption, to aging demographics. We help you address these forces and optimize your plan outcomes through our broad suite of capabilities.
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Delivering the breadth of a global fixed income platform with the agility to pursue alpha with conviction and customization.
We leverage a consistent, conservative fundamental credit process to pursue opportunities across broadly syndicated loans, direct lending, and distressed debt and special situations.
We combine an outcomes-based focus with tailored investment solutions to deliver custom portfolios and analysis.
Explore the breadth of our ETF capabilities and our expansive platform with experts dedicated to supporting your investment goals.
Global Fixed Income Strategy Monthly Report
Get an analysis of important drivers of global fixed income markets, including macroeconomic trends, interest rates, currencies, and credit, in our monthly global strategy report.
Taking the pulse of sovereign investors: Geopolitics, China, and fixed income
The world is changing, and sovereign investors see both risks and opportunities from these shifts — from emerging tensions over trade and tariffs, to China’s advancements in strategic sectors, to the changing role of fixed income in portfolios. Explore insights from our survey.
Why CLO equity now
Collateralized loan obligation (CLO) equity can be a compelling diversifier and has the potential for attractive absolute and risk-adjusted returns.
Investing with the fear factor
Tariff, trade war, and market volatility headlines can make investors fearful. It's unsettling, but fear can also create opportunities.
Tactical Asset Allocation
We’re maintaining our defensive portfolio positioning in April, still favoring bonds and low volatility and quality US stocks.
We can connect you with a team focused on your investment needs. Reach out to learn more about how our capabilities and services can help support your goals.
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