Tag: fixed income
Why unconstrained bonds matter now for Asia’s wealth investors
Reshaping returns: Unconstrained investing in the age of AI
Comfortable being uncomfortable: Navigating global credit with conviction
Asian wealth investors eye “spicier” credit allocations in 2026: BNY Investments
PIMCO’s Asia wealth boss talks bonds and business growth
The Active Edge – Unlocking value through active asset management
The AI boom is here, and what it means for 2026 bond investors
Survey reveals: 71% of APAC investors are more bullish on Europe’s outlook
Why the 60/40 portfolio still works in 2025: PIMCO’s perspective on balance, resilience, and diversification
Duration: Friend or foe? Dynamism in unconstrained bond strategies
Stay balanced: PIMCO’s global outlook for diversified multi-asset portfolios
Endowus partners with RBC subsidiary to broaden credit access
Room to run in fixed income
FSN SG 2025: Citi, Morgan Stanley, and RBC’s portfolio allocation strategies amid rate cuts
FSN SG 2025: BoS, BNP Paribas, and UOB’s fund picks for US-led uncertainty
FSN HK 2025: HSBC, Nomura, J.P. Morgan fund selectors double down on resilience
2025 Midyear Asia fixed income outlook: Another year, another show of resilience
Another proof point showing the resilience of European AAA CLOs
US manager targets wealthy Asians with niche offering – but will it work?
US$900bn fund manager names global CIO for fixed income
Bank of Singapore seals first deal with US$2.8tn fund manager
Fixed income outlook: Time to challenge consensus
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