Fixed Income Global Fixed Income Strategy Monthly Report
We speak with IFI portfolio managers about the factors driving US investment grade and how they are navigating the current fixed income environment. Read online.
In today’s environment, stable income can be hard to find. Enjoy some fresh perspectives from our fixed income investment teams as they share their views on the direction of the markets.
While both main replication methods have their own merits, a swap-based approach could offer an advantage over physical counterparts in certain situations. Find out more.
Discover how Collateralised Loan Obligations (CLOs) can offer portfolio diversification, active management, and access to resilient leveraged loans for professional investors.
Unlocking access to a growing asset class with actively managed ETFs.
We speak with IFI portfolio managers about the factors driving US investment grade and how they are navigating the current fixed income environment. Read online.
Private real estate debt offers insurers a way to diversify their portfolios, generate stable income streams, and match their long-term liabilities.
Experts from Invesco's bank loan, direct lending and distressed credit teams to share their views from the second quarter of 2025.
As we head into 2024, the market consensus is generally that interest rates have peaked – which is exciting news for bond investors. We explore the implications across a broad range of fixed income asset classes.
Catch the latest episode of ‘Bitesized bonds’. This month, Rhys Davies shares his thoughts on the high yield bond market. And all in under four minutes.
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