How the current interest rate environment impacts the securitized market and why active management is key to identifying the best opportunities.
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Global dividends rose to a record $1.66 trillion in 2023, up by 5.0% on an underlying basis.
John Kerschner shares his U.S. securitized outlook, pointing out the biases that he believes keep some investors out of the asset class.
John Lloyd presents a compelling outlook for U.S. multi-sector fixed income, citing the end of rate hikes, cooling inflation, and attractive yields.
Greg Wilensky shares his U.S. core fixed income outlook, noting that opportunities exist even though the probability of a soft landing remains in question.
The outlook for global investment grade credit is attractive but some caution may be required, says Portfolio Manager James Briggs.
Securitized sectors might play a key role for bond investors amid a higher interest rate environment.
How bond investors can take advantage of higher short-term yields while still managing duration exposure.
How Zillow’s failed house-flipping business demonstrates the value of active management in MBS investing.
How rail announcements offer insights into fixed income markets.
Why taking an active approach to sustainable investment could help balance opportunities against the risks in corporate bonds.