The French President’s surprise calling of a snap election in response to a stronger showing from the far right in the European election has driven volatility in French bonds. Hear from Janus Henderson’s credit team on whether this represents an opportunity or risk.
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What investors can do if they feel like they missed the market rally.
Exploring why the credit spread on high yield bonds is distorted and potentially wider than it first appears.
Tom Ross considers the outlook for global high yield corporate bonds in 2024 and the potential tug of war between rates and spreads.
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.
Dissecting the securitized subset of the fixed income market and where we see the strongest opportunities ahead.
What is the appeal of an emerging markets debt hard currency allocation at this point in the cycle?
How bond investors can take advantage of higher short-term yields while still managing duration exposure.