There are 20 item(s) tagged with the keyword "Bonds".
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Investors consider fixed income and liquidity for a variety of reasons. Many of which will change as markets rise and fall, but certain characteristics are always attractive – notably resilience, income and liquidity.
By Chris Iggo, Chair of the Investment Institute and CIO for AXA IM Core, BNP Paribas Asset Management
Ellie Clapton and Jason Borbora-Sheen explore the resurgence of bonds as a viable investment class.
Higher for longer interest rates need not be a deterrent for fixed income investing. In fact, we think the prospects for bonds are positive against a higher rate backdrop. We explain more in our fixed income outlook.
In 2024’s first edition of Market Watch, Shamik Dhar, chief economist at BNY Mellon Investment Management, explores market scenarios for this year. Dhar also underscores the significance of the ballot box in 2024, with close to 50% of the world’s population having elections.
In this week’s Market Watch, Shamik Dhar chief economist, BNY Mellon Investment Managementdelves into the comparative market and economic performance of the United States and Europe. Dhar underscores four pivotal factors contributing to the superior performance of the United States, namely consumer robustness, fiscal policy, global interdependence, and fluctuations in international trade behavior.
Newton head of mixed assets investment Paul Flood on why bonds are playing a bigger role in multi-asset strategies.
Newton head of mixed assets investment Paul Flood on the role of cash in multi-asset strategies.
Newton head of mixed assets investment Paul Flood talks about what he thinks makes a 'moderate' asset allocation.
In this week’s Market Watch Shamik Dhar explores the recent boon of bond markets and bond yields, attributing this to the markets realisation interest rates will stay higher for longer. Moreover, Shamik Dhar teases his extensive research piece, Tidal Forces, on long term real interest rates. Find out more.
Displaying: 1 - 10 of 20