Fixed income

Navigating the storm – emerging market debt
Fixed income

Navigating the storm – emerging market debt

Emerging market (EM) credit has had a difficult two years. For most equity and bond investors, 20...

By Raza AghaViraj Nadgir

22 Nov 2023

4 min read

Down but not out: the ECB and the euro corporate bond market
Kristian Drew
Fixed income

Down but not out: the ECB and the euro corporate bond market

How significant could the ECB's winding down of its euro corporate bond purchases be on the overa...
By Kristian Drew
27 Oct 2023
3 min read
The Big Long? Challenging the ‘higher-for-longer’ rates narrative
Alex Mack
Fixed income

The Big Long? Challenging the ‘higher-for-longer’ rates narrative

Is it better to follow consensus, or look for evidence of group-think and complacency? In this...
By Alex Mack
16 Oct 2023
3 min read
Making the grade: the world of emerging market corporate debt
Fixed income

Making the grade: the world of emerging market corporate debt

With the emerging market debt (EMD) universe increasingly considered to be mainstream, we weigh u...
By Viraj NadgirSanchay Singla
27 Sep 2023
4 min read
Thames Water: Tapped out?
Fixed income

Thames Water: Tapped out?

What does the crisis engulfing Thames Water mean for investors?

By Jonathan Constable

30 Jun 2023

4 min read

Where next for Euro credit?
Marc Rovers
Fixed income

Where next for Euro credit?

After a strong start to the year for European investment grade, how has banking stress impacted t...
By Marc Rovers
26 May 2023
4 min read
Podcast: Spotlight on Euro credit
LGIM
Fixed income

Podcast: Spotlight on Euro credit

Taking stock of Euro credit as we approach the mid-point of a turbulent year
By LGIM
18 May 2023
1 min read
A high yield swallow: the first signs of reopening?
Martin Reeves
Fixed income

A high yield swallow: the first signs of reopening?

With the global high yield market showing initial signs of a return to some level of issuance,...
By Martin Reeves
15 May 2023
3 min read