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Global Fixed Income Strategy Monthly Report | July 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.16 July 2026 -
A new approach to investing in AAA-rated CLOs
Explore how CLO ETFs can help investors seek growth opportunities through active portfolio management, flexibility, diversification and the efficiency of the ETF structure.7 July 2026 -
Fixed Income in a changing world: Key takeaways from our webinar
Our latest fixed income webinar focuses on how fixed income can best support portfolio outcomes, covering positioning, rates, spreads, credit quality and defaults.16 June 2026 -
Insurers: Private markets can offer diversification in a mixed investment environment
Insurers need to diversify return sources, reduce exposure to correlated shocks, and optimise capital efficiency. Selective allocations to private markets can help.15 June 2026 -
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.15 June 2026 -
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.13 May 2026 -
Opportunities expand as AT1 CoCo bond market matures
The Additional Tier 1 (AT1) CoCo bond market has grown significantly in the past decade. Discover new opportunities in this maturing market that could be worth considering particularly for investors in Europe.26 January 2026 -
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.1 December 2025 -
Getting more out of your cash allocation
Discover alternative cash management solutions that may be able to offer enhanced returns versus overnight deposit rates.28 November 2025 -
Fixed income in focus: Unlocking value across the bond spectrum
In our latest webinar, Market Insights Strategist Ben Gutteridge joined fixed income Fund Managers Stuart Edwards, Rhys Davies, and Tom Hemmant to explore the complexities of today’s market landscape, and offer insights to help investors navigate uncertainty and uncover new opportunities.13 November 2025 -
When does a swap-based approach gain an advantage?
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.30 October 2025 -
Understanding CLOs: A guide to collateralised loan obligations
Discover how Collateralised Loan Obligations (CLOs) can offer portfolio diversification, active management, and access to resilient leveraged loans for professional investors.24 October 2025