
Tag: fixed income


2025 fixed income outlook with DNCA Investments: Uncertainty will reign

Harnessing opportunity: A flexible approach to global fixed income investing

Bonds: Still attractive amid higher rates

2025 Asia fixed income outlook: A key global diversifier stays strong

“Very hard to be truly differentiated”: Can Thornburg stand out from the crowd in Asia?

Key long-term themes for bond markets and their impact on today’s portfolios

Opportunities for fixed income investors across tight credit spreads and high yields

The rate cutting cycle – What does this mean for fixed income?

How the US presidential election could affect Asian bonds

How wealth managers and private banks can meet the needs of Asia-Pacific investors

DBS launches three-year fixed income fund with BlackRock

Time for credit selection to shine

“Our quest for alpha”: Inside BNY Mellon’s US$1.5bn global credit strategy

Standard Chartered strengthens DPM team in Singapore with hires from BOS, DBS

Reframing fixed income portfolios: Why bond maths makes the difference

How should investors approach a new world of fixed income?

Looking beyond yield: Rethinking the approach of fixed income investing

2024 Asia ex-Japan fixed income outlook: Staying selective amid compelling alpha opportunities

Bonds regain their lustre as policy easing looms

Fixed income outlook: Back to regular programming

Standard Chartered overweight on bonds amid the big bond debate

Deglobalisation is the biggest risk to client portfolios: Mark Tinker

CIO Insight – Opportunities in HY despite latest China defaults: PineBridge

PIMCO’s Asian affair lures private banks beyond flagship fund

UBP favours quality credits in face of China property crisis

APB Intensive 7.0: Opportunities abound despite market uncertainties

Sweet spots emerge in Asian high-quality bonds in 2H23

Optimal income optimal outcomes

J.P. Morgan AM’s Iain Stealey: All client conversations about fixed income

Time to invest in unloved Asia high yield again? abrdn thinks so

Cash is trash. But which asset do private bankers think will outperform in 2023?

The ‘bend but don’t break’ way to navigate volatility

Neuberger Berman looks to crack China wealth market with first fund launch

APB Thought Leaders: The opportunities of Asian fixed income in 2023

Building resilient income in a more fragmented world

Beyond Chinese high yield: How this US$400bn firm invests in Asian credit

Fixed income outlook: opportunities amid turbulence

Are bonds back as inflation hits the high notes?

APB Thought Leaders: How dynamic investing in China bonds can reduce portfolio volatility and maximise yield

MarketAxess: Helping Asia bond investors navigate market volatility

Asia Equity and Fixed Income Outlook: Resiliency Amid a Perfect Storm for Markets

Premium Pickers: Three ways UBS GWM is hedging market volatility

DPM Corner – How to deepen penetration in Asia-Pacific amid market volatility

Fund giants pick sweet spots in Asian bond market

CIO Weekly – Bank of Singapore doubles down on China, Hong Kong equities coverage: Jean Chia

BNP Paribas WM’s new FMP a hit with investors in risk-off mode
